Skip to main content
JP Morgan Asset Management - Home
Log in
Log in
Hello
  • Accounts & Documents
    Digital servicing offering for active investors
  • My Collections
    View saved content and presentation slides
  • Log out
  • Products
    Overview

    Investment Vehicles

    • ETFs
    • Commingled Funds
    • Mutual Funds
  • Investment Strategies
    Overview

    Investment Options

    • Alternatives
    • Beta Strategies
    • Equities
    • Fixed Income
    • Global Liquidity
    • Multi-Asset Solutions
    • Commingled Funds

    Capabilities & Solutions

    • ETFs
    • Global Insurance Solutions
    • Liability-Driven Investing
    • Pension Strategy & Analytics
    • Outsourced CIO
    • Retirement Plan Solutions
    • Target Date Strategies
    • Retirement Income
    • Sustainable investing
  • Insights
    Overview

    Market Insights

    • Market Insights Overview
    • Eye on the Market
    • Guide to the Markets
    • Guide to Investing in Asia
    • Guide to Alternatives
    • Market Updates

    Portfolio Insights

    • Portfolio Insights Overview
    • Alternatives
    • Asset Class Views
    • DB Insights
    • Equity
    • Fixed Income
    • Long-Term Capital Market Assumptions
    • Portfolio Strategy
    • Strategic Investment Advisory Group

    Retirement Insights

    • Retirement Insights Overview
    • Guide to Retirement
    • Retirement Hot Topics
    • Social Security and Medicare Hub

    ETF Insights

    • ETF Insights Overview
    • Guide to ETFs
    • Monthly Active ETF Monitor
  • Resources
    Overview
    • Center for Investment Excellence Podcasts
    • Insights App
    • Library
    • Public Pension Plans
    • Endowments, Foundations, and Healthcare
    • Taft-Hartley
    • Corporate Defined Benefit
    • Market Response Center
    • Morgan Institutional
    • Artificial Intelligence
    • Webcasts
  • About Us
    Overview
    • Diversity, Opportunity & Inclusion
    • Spectrum: Our Investment Platform
    • Media Resources
    • Our Leadership Team
    • Our Commitment to Research
  • Contact us
  • Role
  • Country
Hello
  • Accounts & Documents
    Digital servicing offering for active investors
  • My Collections
    View saved content and presentation slides
  • Log out
Log in
Search
Menu
Search
You are about to leave the site Close
J.P. Morgan Asset Management’s website and/or mobile terms, privacy and security policies don't apply to the site or app you're about to visit. Please review its terms, privacy and security policies to see how they apply to you. J.P. Morgan Asset Management isn’t responsible for (and doesn't provide) any products, services or content at this third-party site or app, except for products and services that explicitly carry the J.P. Morgan Asset Management name.
CONTINUE Go Back

In brief

  • The Asia-Pacific living sector is broadening beyond Japan's multi-family sector to include diverse markets and accommodation options.
  • This trend is driven by demographic shifts, structural supply shortages and increased cross-border movement.
  • While nascent, the sector is characterized by a core level of risk, low return correlations both within and across regions, and increased institutionalization.
  • As such, the Asia-Pacific living sector provides attractive prospects for long-term growth and an enhanced risk-­adjusted return profile within a global real estate portfolio.

Traditionally dominated by Japan's multi-family market, the Asia-­Pacific living sector is broadening to include a wider range of markets and accommodation options. In Australia, the build-to-rent sector is rapidly growing, while hybrid rental housing forms like co-living and student accommodation are gaining traction. Similarly, while Japan's conventional multi-family sector remains attractive due to positive fundamentals, short-stay rental options and co-living are emerging as new market segments.

These trends are supported by demographic shifts, structural supply shortages, unaffordability of home purchases, and increased cross-­border movement. This paper explores these tailwinds in detail and how they can create new opportunities for enhanced risk-adjusted returns, resiliency, and increased diversification in a global real estate portfolio.

9971c99e-68d1-11f0-9cfe-c12f43a740dc
  • Alternatives
  • Real estate