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PortfolioVMF

Yardi PortfolioVMF™ is an automated valuation, modelling and forecasting tool which provides a transparent investment management infrastructure which helps ensure maximum returns for your investors, increased operational efficiency and eliminates the need for interfaces and spreadsheets.

Quickly producing forecasting results for any given period, PortfolioVMF enables you to predict which investments will provide the best returns within the most complex ownership structures. The ability to create reliable models helps determine the impact of comparative and “what if” scenarios through your portfolio from the capital level down to the individual asset. You greatly improve riskanalysis and achieve a more informed, confident decision making process on whether to purchase, sell or hold assets based on a variety of scenarios with criteria that you define.

Operating through your centralised Yardi Voyager™ database Yardi PortfolioVMF projects future cash flows for owned assets and provides an acquisition analysis tool to ascertain net present values (NPV) and internal rates of return (IRR) and easily meets the demands for frequent asset valuations.

Key Features

  • Streamlines valuations
  • Provides transparency with complete audit trails
  • Forecasts asset cash flows and investor returns
  • Calculates forecasted preferred returns and waterfalls
  • Analyses individual properties and entire investment portfolios
  • Consolidates forecasts with Yardi’s proven investment management tools
  • Imports data from non-Yardi property management systems

Forecast Cash Flows
Combine future assured cash flows with market leasing assumptions to forecast revenues and expenses by property for terms of up to 50 years.

Accurate Valuations
Perform fast, accurate valuations and “what if” sensitivity analysis to support disposition and acquisition strategies.

Variance Reporting
Access budget, actual and forecast data to perform absolute investment comparisons between numerous scenarios and annual term lengths for continual variance analysis and maximum foresight.

PortfolioVMF Analysis
Forecast cash flows and calculate property market values.
Key Features
  • Calculate market value and expected IRR
  • Generate cash flow forecasts for terms of up to 50 years
  • Forecast expenses with easy-to-use formulas
  • Estimate variable market leasing assumptions by region, property and unit
  • Quickly refresh forecasts with existing property management data
  • Leverage quick start tools to model acquisitions and potential deals
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