COLLECTION
Debt Optimization Made Simple
Expert Insights on Reducing Costs and Maximizing Cashflow
Gain the edge with expert resources on debt optimization, refinancing, and restructuring. Our articles, whitepapers, case studies, and checklists give you the strategies to navigate tough lending markets, negotiate better terms, and elevate your approach.
CHECKLIST
6 Warning Signs of Market Volatility and How to Respond
Spot market instability warning signs and respond fast. Key insights on interest rates, cap rates, and strategies to protect assets and cashflow.
INFOGRAPHIC
Inside the CRE Capital Stack: Layers of Risk, Return & Control
Assess your capital stack health and spot weak points early. Balance risk, return, and control from loans to equity waterfalls.
WHITEPAPER
CRE Debt Strategies for the Future: How to Build Resilient Financing Plans
See how savvy investors are building flexible capital stacks, stress-testing early, and using smart tools to anticipate risk before closing.
From Our Socials
BLOG
How to Hedge Interest Rate Risk in CRE: A 2025 Guide
This article offers a comprehensive framework for hedging interest rate risk, with examples, scenarios, and best practices tailored to CRE borrowers.
BLOG
Bridge vs. Permanent Financing: When to Make the Switch
Bridge loans buy you time; permanent loans buy you certainty. Every financing decision involves trade-offs between flexibility and predictability.
BLOG
Why Rebalancing Your Capital Stack Is the Key to Resilience
This article lays out when to rebalance, how to quantify the payoff, and which structures actually move debt service coverage ratio (DSCR), debt yield, and risk-adjusted return.
BLOG
Top Metrics to Analyze CRE Portfolio Risk and Improve Returns
Learn the most important metrics to evaluate, along with ways to apply them to strengthen portfolio returns.