Your guide to understanding how to model and analyse core mixed use real estate investments

You should attend this course if you want to:


  • Advance your financial modelling skills and add more complex scenarios into your real estate models.
  • Be able to model and interpret the financial impact of core mixed use investments
  • Be able to automatically calculate and analyse the financial returns and risks associated with mixed use investments
  • Feel confident at modelling core investments in general and communicating them to clients and colleagues.


Details:

  • New case studies uploaded very 2 weeks
  • Intermediate / Advanced level


Course Curriculum


  5-9 South Molton Street - Retails - Office - London
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  Investment Management - Modelling Test
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  40 Strand - Central London, London, UK
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  2 Asset Portfolio (40 Strand & Cassini House)
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  6 Kean Street - London, UK
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Meet Your Instructor


Maria’s passion for real estate finance and particularly financial modelling is built on specialist roles in the highly quantitative fields of property derivatives, renewable energy and listed Real Estate Investment Trusts (REITs) analysis, a career path complemented by an academic grounding in real estate finance from University of Cambridge and a professional qualification as a CFA Charterholder and Member of the Royal Institution of Chartered Surveyors (RICS).

With global consulting and leadership experience, Maria is an internationally recognised authority, speaker and thought-leader on the organisational benefits of best practice financial modelling and diversity in real estate.

Maria is the CEO and principal trainer of Cambridge Finance, which she founded with the aim to bring top-quality real estate finance education to the property industry.


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