Udemy - Real Estate Risk and Sensitivity Analysis Bootcamp

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Udemy - Real Estate Risk and Sensitivity Analysis Bootcamp (Size: 1.1 GB)
  Bonus Resources.txt 102.4 B
  Get Bonus Downloads Here.url 204.8 B
  ~Get Your Files Here !
  1 - Welcome Real Estate Risk Sensitivity Analysis Bootcamp
  1 - Real-Estate-Risk-and-Sensitivity-Analysis-Bootcamp-Outline.pdf 3.3 MB
  1 - Welcome Course Introduction.html 614.4 B
  10 - Bayfield Training Executive Education
  2 - Introduction Exploring Real Estate Risk
  3 - Base Model Overview
  10 - Building Basic Real Estate Investment Models Module Investment Assumptions.mp4 75.1 MB
  11 - Building Basic Real Estate Investment Models Module Investment Assumptions.html 1.7 KB
  12 - Building Basic Real Estate Investment Models Module Investment Assumptions.html 921.6 B
  13 - Model Templates To Follow Along With The Course.html 307.2 B
  13 - Risk-Sensitivity-Analysis-Model-Base-2.xlsx 30.8 KB
  14 - Model Templates To Follow Along With The Course.html 409.6 B
  14 - Risk-Sensitivity-Analysis-Model-Blank-Frameworks.xlsx 88.1 KB
  15 - Model Templates To Follow Along With The Course.html 409.6 B
  15 - Risk-Sensitivity-Analysis-Model.xlsx 196.2 KB
  4 - Deterministic Frameworks Sensitivity Analysis
  16 - Introduction.html 1.2 KB
  17 - Introduction.mp4 65.5 MB
  18 - Introduction.html 102.4 B
  19 - Oneway Univariate Sensitivity Analysis Exercise.html 3 KB
  20 - Oneway Univariate Sensitivity Analysis Exercise.mp4 161.6 MB
  21 - Exercise-One-way-univariate-Sensititivy-Analysis.pdf 59.1 KB
  21 - Oneway Univariate Sensitivity Analysis Exercise.html 512 B
  22 - Two Way Bivariate Sensitivity Analysis Exercise.html 2.6 KB
  23 - Two Way Bivariate Sensitivity Analysis Exercise.mp4 52.3 MB
  24 - Exercise-Solutions-Two-Way-Bivariate-Sensitivity-Analysis.pdf 85.7 KB
  24 - Two Way Bivariate Sensitivity Analysis Exercise.html 409.6 B
  5 - Deterministic Frameworks Dynamic Scenario Models
  25 - Introduction.html 409.6 B
  26 - Introduction.mp4 17.7 MB
  27 - Introduction.html 409.6 B
  28 - Setting Up The Dynamic Scenario Model.html 2.1 KB
  29 - Setting Up The Dynamic Scenario Model.mp4 182.6 MB
  30 - Setting Up The Dynamic Scenario Model.html 1.8 KB
  31 - Integrating Scenario Selection With Xlookup.html 1.9 KB
  32 - Integrating Scenario Selection With Xlookup.mp4 92.9 MB
  33 - Integrating Scenario Selection With Xlookup.html 1.3 KB
  6 - Probabilistic Frameworks Monte Carlo Simulation
  34 - Introduction.html 1.4 KB
  35 - Introduction.html 921.6 B
  36 - Introduction.mp4 38 MB
  37 - Introduction.html 1 KB
  38 - Setting The Input Parameters Considerations.html 1.6 KB
  39 - Setting The Input Parameters Considerations.mp4 71.6 MB
  40 - Setting The Input Parameters Considerations.html 921.6 B
  41 - Setting The Input Parameters Considerations.html 2.4 KB
  42 - Simulation Results.html 1.7 KB
  43 - Simulation Results.mp4 124.6 MB
  44 - Simulation Results.html 921.6 B
  7 - Probabilistic Frameworks Value At Risk Var
  45 - Interpreting Var Results.html 409.6 B
  46 - Interpreting Var Results.mp4 8.5 MB
  47 - Interpreting Var Results.html 1.7 KB
  48 - Calculating The Value At Risk Of A 3Asset Reit Portfolio 40 Years.html 512 B
  48 - Portfolio-VaR-Calculations-Blank.xlsx 22.4 KB
  49 - Calculating The Value At Risk Of A 3Asset Reit Portfolio 40 Years.mp4 58.5 MB
  50 - Calculating The Value At Risk Of A 3Asset Reit Portfolio 40 Years.html 2.1 KB
  51 - Portfolio Value At Risk Using Solver.html 2 KB
  52 - Portfolio Value At Risk Using Solver.mp4 41.7 MB
  53 - Portfolio Value At Risk Using Solver.html 1.4 KB
  54 - Portfolio Value At Risk Using Solver.html 716.8 B
  54 - Portfolio-VaR-Calculations.xlsx 23.5 KB
  8 - Bonus Risk Analysis Automation With Python
  55 - Risk Analysis Automation With Python.mp4 18.1 MB
  9 - Wrap Up
  56 - Whats Next.html 1.4 KB
  9 - Building Basic Real Estate Investment Models Module Investment Assumptions.html 1.6 KB
  9 - Risk-Sensitivity-Analysis-Model-Base.xlsx 33.8 KB
  5 - Risk Taxonomy.html 921.6 B
  6 - Risk Taxonomy.mp4 59.8 MB
  7 - Risk Taxonomy.html 3.4 KB
  8 - Risk Taxonomy.html 1 KB
  57 - Learn More About Us.html 6.1 KB
  58 - Bayfield 2026 Course Brochures.html 512 B
  58 - Instructor-Led-Courses-Brochure-2026.pdf 11.7 MB
  58 - Online-Courses-Brochure-2026.pdf 6.7 MB
  59 - Bayfield Free Property Webinars.html 921.6 B
  59 - Webinar-Brochure-2026.pdf 3.4 MB
  60 - Disclaimer.html 1.2 KB
  2 - Welcome Course Introduction.mp4 12.8 MB
  3 - The Trainer Your Support Team.html 2.1 KB
  4 - Excel Keyboards Shortcuts.html 204.8 B
  4 - Excel-Keyboard-Shortcuts-for-MAC-Users.pdf 1 MB
  4 - Excel-Keyboard-Shortcuts-for-Microsoft-Windows-Users.pdf 474.6 KB

Description


Real Estate Risk & Sensitivity Analysis Bootcamp
https://WebToolTip.com
MP4 | Video: h264, 1920x1080 | Audio: AAC, 44.1 KHz

Language: English | Size: 1.08 GB | Duration: 1h 42m
Model real estate risk using Excel, sensitivity analysis, Monte Carlo simulation and VaR for better investment decisions
What you'll learn

Identify real estate risks (paradigm, business, market) and their impact on investment decisions

Apply sensitivity analysis and scenario modelling to test how assumptions affect project outcomes

Use Monte Carlo simulation and Value at Risk (VaR) to model and quantify investment uncertainty

Optimise portfolios with Excel Solver to balance risk and return across investment allocations
Requirements

This is an advanced-level course. To get the most out of it, learners should have: A solid understanding of real estate finance and investment fundamentals (e.g. valuation, cash flow modelling, and return metrics such as IRR and NPV) Prior experience working with financial models in Excel, including building or analysing investment or valuation models Familiarity with basic risk and return concepts in investment analysis Comfort interpreting financial statements and investment performance metrics Intermediate to advanced Excel skills, including the use of formulas, data tables, and scenario analysis tools

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