Debt Analysis

Real Estate Debt Analysis

Managing the debt component of real estate investment portfolios has become increasingly challenging following the decline in asset values and the continued uncertainty in the financial markets.

For executives charged with steering the finances of real estate investment funds during these turbulent times, better debt modeling tools have become a necessity.

Resolve’s software solutions provide access to the information and analytics you need to make timely and confident decisions that give you better control over debt-related risks.

  • Automatically analyze and report on any number of loans
  • Easily track operational, capital, and debt cash flows across all levels of the investment structure
  • Ensure consistency of calculations and transparency of results
  • Evaluate the impact of your financing strategies under different assumptions for asset valuation, income, cap and interest rates

Whether you use Resolve Debt or the Portfolio Maximizer software suite, you can now spend your time optimizing financial decisions to minimize debt risk and maximize investor returns rather than building and validating spreadsheets.


  • New Boston Fund Automates Modeling of Real Estate Investment Cash Flows, Debt, and Waterfalls with Portfolio Maximizer Software

    Related Products:
    Portfolio Maximizer Suite
    Resolve Debt

    We have an ongoing need to project fund-level cash flows into the future in order to make informed investment decisions. As funds grow, the use of Excel to run these models becomes prohibitively cumbersome, and the risk of error goes up. Portfolio Maximizer will provide us with a more streamlined and secure environment to create these projections.

    Allan Swaringen, Managing Director and head of the Excelsior LaSalle Property Fund, LaSalle Investment Management

    Download
    Solution
    Datasheets