This module provides an end-to-end understanding of a real estate investment product operational life cycle and offers applied legal and operational insights.
Everyone working with and wishing to develop their understanding of Real Estate Investment Products, including Fund & Asset Managers, Accountants, Risk Managers, Bank Employees, Administrators, Corporate Secretaries etc.
Understanding and walking through the key processes of a real estate fund operating platform:
- Launch process
- Raising capital
- NAV calculation
- Preparation of financial statements
- Vehicle reporting
- Acquisitions and disposals
- Fund/Investor Exit Strategies
- Asset Management
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