Run worst-case scenario analyses on rent drops, recessions, inflation, and sponsor failures to see if your deals can withstand market shocks—before you invest.
Institutional-Level Portfolio Insights for Passive Investors
Optimize your real estate portfolio like a hedge fund with advanced return metrics—Sharpe ratio, MOIC, etc.—to align with your risk profile and long-term financial goals.
Risk vs. Return Deal Comparison Spreadsheet
Evaluate multiple investment opportunities side by side using key risk-adjusted return metrics, helping you confidently allocate capital to the best-performing deals.