Financial Modelling
5 Factors That Make Discounted Cash Flow (DCF) Invaluable To Investors
Dive deep into the core principles and elements of Discounted Cash Flow (DCF), uncovering why it’s considered such a critical and invaluable method for investors, especially when evaluating potential investments.
Solving Real Estate Investment Problems with Financial Models
What’s the most valuable asset you have? Most of us would say it’s the house. And to finance that house, you probably have to get a mortgage from the bank.… Read More »Solving Real Estate Investment Problems with Financial Models
How to build a real estate financial model from scratch
A financial model is a structured and dynamic tool which links inputs/assumptions with periodic cash flow to produce results used for investment decisions or recommendations. They are mathematical models designed to represent a simplified version of a financial asset’s performance.
Implications of the New DCF Method
Q&A with Professor Neil Crosby, Henley Business School and Maria Wiedner, CEO Cambridge Finance. I am part of the valuation review committee and I think one of the basic terminologies… Read More »Implications of the New DCF Method
Financial Modelling Mastermind Session: Lease Event Integration Unpacked
Hey, everyone! We just wrapped up an amazing Financial Modelling Mastermind session and I couldn’t wait to share the highlights with you. Alongside Maria Wiedner, Carson Fung of Goldstone Real Estate, and Carl Hermelin or Ingka (Ikea), we delved deep into the final touches of our financial model. Our main focus? Integrating different lease event types to give a complete view of cash flow dynamics. Let’s jump right in!
How to Carry Out Risk Assessments in Real Estate
How to Carry Out Risk Assessments in Real Estate – a blog post diving into detail regarding the ins and outs of carrying out risk assessments in real estate. Let’s face it: in real estate, it’s all about minimising risk and maximising returns. If you’re not dialled into risk assessment, you’re flying blind. Here’s the no-nonsense guide to mastering risk assessment in real estate.
Real Estate Debt Financial Modelling: Strategies to Tackle High-Interest Rates
This blog will cover Real Estate Debt Structures, Risk, and Financial Modelling. It will discuss the basic concepts of return metrics, why interest rates matter in the real estate industry, the debt-to-equity ratio, what this means, and how to cope with high interest rates.
How to Create a Financial Model in Real Estate: A Step-by-Step Guide
If you’re serious about succeeding in real estate, mastering financial modelling is non-negotiable. This isn’t just about crunching numbers—it’s about building a roadmap to navigate the complexities of property investment… Read More »How to Create a Financial Model in Real Estate: A Step-by-Step Guide
Level Up Your Real Estate Game: Insights from Our Recent Course Event
Greetings, real estate enthusiasts! We are Cambridge Finance, your trusted ally in the world of real estate finance. Last week, we had the honour of hosting an unforgettable event at the prestigious Cumberland Hotel, where our industry recognised course, “Introduction to Real Estate Investment, Development, and Finance,” took centre stage.