Real Estate Debt Restructuring


Objective

Real estate problems abound in many Bank and Investment Fund portfolios. The situation is often complex and the variables and options are often indefined and difficult for those with no experience of the problems. This practical course has the aim of improving familiarity with the core concepts of loan defaults, workouts and restructurings including early warning signals. Using numerous real examples and cases it indicates what can be done when faced with a default, how to understand the legal options, how to design a remedial plan and how to evaluate restructuring alternatives. Inter-creditor issues and valuing distressed assets and enforcing security are also covered.

 


Delegates

 

  • Lending Bankers
  • Head of Risk and Credit Analysts
  • Administrators and Liquidators
  • Private Equity and Hedge Fund Managers involved in Real Estate
  • Real Estate Investors and Fund Managers
  • Lawyers, Accountants and Surveyors involved in difficult Real Estate situations


Summary Content

 

-Real Estate Market


-Problem Recognition


-Early Warning Signals


-Default Events


-Reaction to Default


-Restructuring Case Study 1


-Cashflow Modelling


-Different approaches


-Preparation for Legal Battle


-Managing the Professionals involved


-Shaking the Tree


-Case Study 2 Restructuring a major real estate company which has several projects in the residential luxury living category.


-Remedial Management


-Lessons Learnt

 




Todays Date:


Duration 2 days
Available as an in-house tailored course







Investment Education PLC
45 Old Hall Road, Manchester M7 4JF, United Kingdom
Tel:+44 (0)161 832 3800
Email: mail@investmentEducation.net
Registered in England Number 2129160
VAT Registered Number GB 480 2112 85



site designed by:WEBSCIENCES