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IPD Toolkit
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IPD has developed a range of statistical desk-based tools to help investors and fund managers better understand the performance of their portfolios. As an added benefit IPD can provide the property data to populate these tools, which you in turn can use in Forecasting, Cashflow Modelling, Risk Modelling, Asset Allocation and Strategy Formation. We form a close consultative relationship with you to ensure that you have the performance variables for the property types of interest to you.
Top-Down Portfolio Allocation. Portfolio Optimiser: Designed for direct and indirect fund managers and use in Solvency II modelling, the Optimiser calculates the optimal asset allocation for either a given level of return or a given level of risk. More.
Portfolio & Market Return Generation. Portfolio Simulation: Uses cashflow values, generated by the tenant income stream, to model IPD Index total returns either for a specific fund or an entire market. More.
Forecasting Service: Taking the Simulation model a few steps further, this service uses a combination of economic demand-side forecasts and supply-side data to project IPD market performance indices forward by up to 10 years. More.
Portfolio & Asset Cashflow Analysis. Probability Adjusted Cashflow Model: Uses the probability of each event in a lease to project an expected and also a probability adjusted cashflow for units, assets, sub-portfolios and the portfolio for up to 100 years. More.
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IRIS - IPD Rental Information Service: provides a complete IPD validated tenancy database (tenancy and lease details refreshed every quarter), which helps researchers, fund managers and investors assess the strengths and weaknesses of their cashflow. More.
Property Fund Vision: an interactive analytical tool bringing together pooled property fund information with investment performance, enabling you to analyse and extract data on 77 pooled property funds across the UK. More.
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