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Welcome to Nuveen
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  • Americas
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Amaray Las Olas

Global Debt Series

Our debt series seeks to provide investors access to secure, income-focused returns. Our strategies may suit cautious investors seeking attractive levels of income with a measure of downside protection against short-term market cycles.

Investment themes

Our capabilities in the Global Debt series

Seeks exposure to U.S. core-plus commerical real estate debt seeking capital preservation and diversification through institutional-quality loans including mezzanine, B-notes and whole loans

Seeks exposure to continental European CRE debt through senior, whole and selected mezzanine loans, aiming to offer income-focused returns from a protected position in the capital structure

Seeks exposure to U.K. CRE debt through senior, whole and selected mezzanine loans, aiming to offer income-focused returns from a protected position in the capital structure

Australian Commerical Real Estate Debt

Seeks exposure to a diversified portfolio of commercial real estate core-plus debt through assets located in Australia, with the aim of achieving attractive risk adjusted total returns

Contact us
London skyline
London
201 Bishopsgate, London, United Kingdom
Important information on risk

Past performance is no guarantee of future results. All investments carry a certain degree of risk, including the possible loss of principal, and there is no assurance that an investment will provide positive performance over any period of time. Certain products and services may not be available to all entities or persons. There is no guarantee that investment objectives will be achieved.


Investors should be aware that alternative investments are speculative, subject to substantial risks including the risks associated with limited liquidity, the potential use of leverage, potential short sales and concentrated investments and may involve complex tax structures and investment strategies. Alternative investments may be illiquid, there may be no liquid secondary market or ready purchasers for such securities, they may not be required to provide periodic pricing or valuation information to investors, there may be delays in distributing tax information to investors, they are not subject to the same regulatory requirements as other types of pooled investment vehicles, and they may be subject to high fees and expenses, which will reduce profits.

As an asset class, real estate-related assets are less developed, more illiquid, and less transparent compared to traditional asset classes. Real estate investments are subject to various risks, including but not limited to, fluctuations in property values, higher expenses or lower income than expected, changes in economic conditions, currency values, environmental problems and liability, the cost of and ability to obtain insurance, and risks related to leasing of properties.

Responsible investing incorporates Environmental Social Governance (ESG) factors that may affect exposure to issuers, sectors, industries, limiting the type and number of investment opportunities available, which could result in excluding investments that perform well.
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