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Commercial Real Estate Finance and Investments

April 6, 2021 @ 5:00 pm 8:00 pm

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Commercial Real Estate Finance and Investments

  • Location: UNLV Campus
  • Days: Wednesday
  • Time: 5:00 PM to 8:00 PM
  • Dates: April 6, 2022 to April 27, 2022

This course will cover key core concepts, analytical methods, and tools for understanding the dynamic world of real estate investing, mostly focusing on institutional/sophisticated investors. The objective of the course is to provide students with a clear comprehension of all aspects of real estate investments including risk, return, capital markets, leverage, valuation, and derivatives. This course builds a cohesive framework to analyze complex real estate finance and investment decisions emphasizing fundamentals of property markets and financial markets (primary emphasis on “Main Street” deals rather than Wall Street). Use of databases such as CoStar, Moody’s REIS and analysis software such as ARGUS will also be demonstrated in the class.

Learning Outcome

  • Understand the role of Real Estate as an institutional asset class, and its relevance to a multi-asset portfolio
  • Gain a strong understanding of risk, return and leverage as it pertains to commercial real estate
  • Develop, and perform multi-period Proforma analysis and run cash flow projections for i Perform financial returns, ratios, and benchmarks reports for feasibility
  • Comprehend mortgage underwriting and valuation and secondary mortgage market and securitization
  • Define different types of real estate debt (construction and permanent loans, secondary and other debt)