2024 State of CRE: Insights to Help You Survive the Next Market Cycle
In 2023, the commercial real estate (CRE) industry was impacted by increasing interest rates, climbing cap rates, rising costs of goods, surging insurance costs, and several other factors that have likely altered how you make decisions.
As we continue to feel the headwinds of this market, active preparation for 2024 is crucial for survival. Keeping an eye on trends and market indicators and understanding how they may impact your asset and portfolio performance will be key as you get ready for the new year.
Founder and CEO
Managing Director of Capital Markets
Managing Director - Head of Capital Markets
Cantor Fitzgerald Asset Management
In this webinar, we discuss:
✓ Predictions for the year ahead about forecasting, real estate markets, debt maturities, forward interest rates, and more
✓ How to create alpha in an uncertain & volatile market
✓ How to protect your portfolio and assets in 2024
Protecting Your Returns: Optimizing Operational and Debt Performance in Your CRE Assets
In this webinar, you'll learn new methodologies to generate performance analysis for your asset - so you can accurately assess where you rank today and identify specific areas of opportunity to drive & protect your returns and achieve the promote.
Real Estate Debt Optimization
In today's 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 optimization strategy.
How to Access Trapped Equity Via Cash-Out Financing in a Volatile Rate Environment
Learn how one Thirty Capital client leveraged our tailored advisement to determine when the best time to access his trapped equity would be and what loan product would best fit his situation.