{"type":"rich","version":"1.0","provider_name":"Transistor","provider_url":"https://transistor.fm","author_name":"Climate-Ready Real Estate Investing","title":"The Rise of Resilience-Weighted Portfolios","html":"<iframe width=\"100%\" height=\"180\" frameborder=\"no\" scrolling=\"no\" seamless src=\"https://share.transistor.fm/e/25cedd9b\"></iframe>","width":"100%","height":180,"duration":660,"description":"EPISODE DESCRIPTION The world’s largest pension funds are no longer just screening for energy labels. They are constructing portfolios with resilience as an explicit weighting factor — scoring assets for physical hazard exposure, certification compliance, adaptation investment track record, and regulatory pathway clarity. The Government Pension Investment Fund of Japan — GPIF, approximately $1.6 trillion USD under management — is the anchor institution in this shift. APG in the Netherlands, CDPQ in Canada, and CalSTRS in California have each published similar frameworks, arriving at a common conclusion: the composite resilience profile of a real estate asset is a predictive indicator of long-term return durability.This Story & Future Thinking brief uses Tokyo as the geography for this story, not because it has solved climate risk, but because it has spent decades building the institutional infrastructure to manage it systematically. Tokyo’s super-levee system and Metropolitan Area Outer Underground Discharge Channel, the tiered seismic certification system established by Japan’s 1981 and 2000 Building Standards Act revisions, and the J-REIT market’s green certification premium — cap rate compression of 30 to 80 basis points for CASBEE-certified assets — together form the most complete real-world data set for resilience-weighted portfolio construction available globally.The strategic question: the world’s largest pension funds are sorting their real estate portfolios by resilience quartile. The bottom quartile is on a divestment review list. The top quartile is being overweighted. Which quartile does your portfolio sit in?Episode SummaryEpisode 21 documents the emergence of resilience-weighted portfolio construction as the next stage of institutional real estate strategy — beyond energy label compliance, into a composite scoring methodology that integrates physical hazard exposure, certification compliance, adaptation investment track record, and regulatory...","thumbnail_url":"https://img.transistorcdn.com/edaVSiW7TDXFb72yvtrmHy0LDmwIgx2BDQFH-qalgqw/rs:fill:0:0:1/w:400/h:400/q:60/mb:500000/aHR0cHM6Ly9pbWct/dXBsb2FkLXByb2R1/Y3Rpb24udHJhbnNp/c3Rvci5mbS9hNmVk/NWUyYzI0MzJhN2Uz/YmQ4MTIxNmRlY2Yz/MzA2ZC5wbmc.webp","thumbnail_width":300,"thumbnail_height":300}