As interest rates rise and economic uncertainty lingers, commercial real estate professionals are under pressure to maintain cashflow and meet investor demands. With debt being a key constant, why would anyone consider refinancing in a higher-rate environment—especially when cashflow is at stake?
Watch a timely and insightful webinar where our debt experts break down strategic opportunities that go beyond just loan terms. During the discussion, they explore:
- Debt Structuring for Returns: Aligning your debt with property cashflow to unlock trapped value.
- Scenario Planning That Works: Stress-testing debt options to align with your strategy and mitigate volatility.
- Real-World Playbooks: Practical examples of how to reduce capital costs, manage expiring rate caps, and more.