After the summer break, the INREV Academy returns with three high-impact courses designed to deepen your expertise in non-listed real estate. Whether you're just starting out in the industry or an experienced professional, we have a course for you with discussion-based learning including practical implications, challenges and trends.
Secondary Markets and Liquidity Options | Amsterdam | 16 September 2025
Explore the key mechanisms for managing liquidity in non-listed vehicles and investments. This course covers liquidity considerations for fund managers as well as secondary trades from an LP and GP perspective — ideal for experienced industry professionals who want to improve their knowledge of liquidity mechanisms and secondary market trades.
Strategic Risk Management | London | 24 September 2025
With a strong emphasis on investment risks, this course covers a broad range of topics including macro drivers of real estate risk, portfolio and asset-level investment risks, lease and tenant risk, operational risk as well as strategies for climate risk management. Typical participants include Portfolio Managers, Investment Managers, Fund Managers, Asset Managers, Risk Managers, as well as Research and Strategy professionals.
Effective Due Diligence | Frankfurt | 1 October 2025
Are you a young professional in the early years of your career? Join this course to learn about the thorough due diligence process – including investor selection criteria, operational, legal, and ESG due diligence – and the latest trends and INREV tools. A must-attend for anyone involved in acquisitions or fund and manager selection as well as their advisors.
Each course counts an as elective toward the INREV Academy Certificate, so you’re that much closer to achieving your accreditation.
Places are limited—register today to secure your spot.
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