Today, there is over $5 trillion in commercial real estate (CRE) debt. For commercial real estate owners and investors, current debt and capital market trends such as rising interest and cap rates can present unique challenges for your firm’s debt management.
In this CRE landscape, debt management is the next lever that firms can optimize to understand their portfolio’s performance and mitigate risks. As CRE firms accumulate debt, minimizing risks and maximizing returns in the portfolio will require an accurate, proactive debt management strategy.
But, how can you develop a solid debt management strategy while navigating an unpredictable market?
In this webinar, we’ll discuss:
- The foundations of debt management (and common myths to avoid!)
- Economic factors creating challenges around debt optimization
- Methodologies for developing an effective debt management strategy
- Practical tips to model scenarios, forecast, and prevent financial loss in today’s shifting CRE environment
CIMA®, CPWA®, CIMC®, RMA®, and AEP® CE Credits have been applied for and are pending approval.
Thirty Capital Financial
Zach Haptonstall, MBA
David Bodamer – Host
Executive Director of Content & User Engagement
Wealth Management Real Estate