Portfolio and fund models
duration
1-2 weeks
OBJECTIVES
Consolidated investor returns
SERVICE
Model build
Portfolio models
Consolidate asset-level data to assess the impact of acquisitions, disposals, investments, and financing decisions on performance and liquidity.
Portfolio rollups
Performance attribution
Trend analysis
Evaluate an example Excel model — no sign-up required.


Fund models
Overlay fund costs and waterfalls to a portfolio forecast to project investor contributions, distributions, and returns.
Projected returns
Waterfall analysis
Investor returns
Compliance and liquidity
