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Acquisition-to-Disposition Portfolio Management and Analysis
Successful investment decision-making demands a holistic view of data and accurate analytics and forecasts. As the real estate market matures, the complexity of portfolios evolves and the challenges intensify. For maximum returns and sustainable, long-term growth, you need a proactive approach that will enable you to project investment decisions into the future and manage your portfolio from acquisition to disposition.
Portfolio Maximizer is the first forward-thinking decision tool designed for real estate investment executives. This groundbreaking solution provides a robust, centralized platform to automatically merge data from all levels of your investments and combine actual results with future projections.
With all your ARGUS DCF data consolidated in the Request FC platform, you can confidently provide up-to-date information to serve the needs of internal and external decision makers with presentation-quality portfolio-level reporting.
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- Quickly evaluate investment opportunities and risks
- Standardize complex partnerships and waterfall calculations
- Streamline cash management decisions
- Allow decision makers to spend more time analyzing data and less time manually compiling reports
- Increase your confidence in operational and financial performance reports
- Reduce your dependency on risky and error-prone spreadsheets
- Use a one-stop solution for acquisition-to-disposition analysis of partnerships and funds
- Clearly view historical and future portfolio activity in a graphical user interface
- Model projected asset acquisitions and disposition strategies
- Analyze various financing options to optimize portfolio debt structure and returns
- Create multiple scenarios based on different market assumptions
- Decide how to distribute capital and operational proceeds to investors
- Analyze different financing scenarios for risk management
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- Maximize Returns through Proactive Management
Portfolio Maximizer enables you to proactively manage investments by instituting a systematic approach to budgeting and forecasting at the portfolio level. It empowers managers to confidently and accurately calculate complex partnership distributions, evaluate different scenarios, and forecast potential returns, all while reducing reliance on Excel spreadsheets.
With access to information and analysis tools readily at their disposal, portfolio managers are better equipped to respond to changing situations.
- Optimize Decisions with "What-if" Analysis
Featuring powerful what-if capabilities, Portfolio Maximizer enables you to evaluate different acquisitions, dispositions, and financing strategies â?" quickly and reliably analyzing the effect of your decisions on investor returns.
- Streamline Partnership Modeling and Waterfall Calculations
Portfolio Maximizer provides a centralized management tool for the complete spectrum of fund-related information, consolidating data from all pertinent sources and eliminating the use of cumbersome spreadsheets and paper files.
With Portfolio Maximizer, you can easily model any fund structure and capture investor and partnership terms, no matter how complicated. An integrated waterfall calculation engine helps you calculate operational and capital waterfalls for accurate and immediate visibility into investor returns.
- Centralize the Management of Loan Information
Portfolio Maximizer serves as a single, easy to use repository where you can enter contractual debt terms, integrated debt service with collateral information, and create amortization schedules. With all the information clearly organized and classified in one place, you can confidently ensure compliance with debt service coverage and loan-to-value ratios. Portfolio Maximizer enables you to proactively manage and optimize financing strategies.
- Optimize the Asset Mix to Maximize Cash Flows and Manage Risk
Information about assets and their associated cash flows can be either linked from other systems or entered directly into Portfolio Maximizer. Utilizing pre-built calculation methods, you can create and stimulate multiple cash flow streams for actual and speculative assets. Using this information, you can evaluate various scenarios for optimal asset composition that will improve cash flows and minimize risk.
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