Portfolio performance isn’t just about rent rolls and cap rates — it’s about how capital is structured. In today’s high-rate, low-liquidity environment, the balance between debt and equity can unlock significant value or quietly erode returns.
This free whitepaper reveals how CRE owners and decision-makers can tap into trapped capital, improve overall portfolio efficiency, and boost performance. Rather than relying on asset sales or market appreciation, it focuses on using capital structure as a strategic advantage through actionable insights and real-world examples.
What you’ll learn:
- The Hidden Cost of Idle Equity: Understand how underutilized equity drags down returns — and how to unlock it.
- Strategic Debt Optimization: Learn how to use refinancing, re-leveraging, and rightsizing to enhance yield and liquidity.
- Improving Return on Equity (ROE): See why ROE declines over time and what to do about it before it erodes performance.
- Blended Equity Efficiency Across Portfolios: Discover how to evaluate equity efficiency across assets and reallocate strategically.
- Real-World Examples: See how sponsors are boosting IRR and cashflow through recapitalization and capital redeployment.