Maximizing Profitability: How Combining Asset and Debt Scenarios Elevates Equity Management in CRE
Resource, Blog Debt Management, Strategy Asset & Portfolio Managers, Property Managers, Finance & Accounting, C-Suite, Equity InvestorsIn this blog we dive into how equity scenarios grant you the ability to anticipate future outcomes and make data-driven decisions.
Future-Proofing Your Portfolio: The Role of Scenario Planning in CRE Decision-Making
Resource, Blog Debt Management, Strategy Asset & Portfolio Managers, Property Managers, Finance & Accounting, C-Suite, Equity InvestorsIn this blog we dive into how you can future-proof your portfolio strategy with the help of scenario planning.
Mastering CRE Debt Management: Leveraging Technology to Optimize Cash Flow and Risk
Resource, Blog Debt Management, Strategy Asset & Portfolio Managers, Property Managers, Finance & Accounting, C-Suite, Equity InvestorsIn this blog we dive into how you can master your debt management with the use of technology and detailed strategies.
4 Weekly Multifamily KPIs That Successful CRE Firms Are Tracking (and You Should Too)
Resource, Blog Debt Management, Strategy, Cashflow Management, Market Trends Asset & Portfolio Managers, Property Managers, Finance & Accounting, C-Suite, Equity InvestorsWhen it comes to success in commercial real estate (CRE), having the knowledge and skills to be able to quickly adapt to an ever-evolving market is crucial. The only way to know whether you’re over or underperforming is monitoring key performance indicators (KPIs).
Striking the Balance: Navigating Short-term Performance and Long-term Viability in CRE
Resource, Blog Debt Management, Strategy, Cashflow Management, Market Trends Asset & Portfolio Managers, Property Managers, Finance & Accounting, C-Suite, Equity InvestorsIn commercial real estate (CRE), achieving an equilibrium between short-term performance and long-term sustainability is key. In our recent webinar, our experts, Mark Runde and Jeff Lee discussed how to achieve this balance.