Portfolio Management

Portfolio management encompasses strategic oversight of multiple properties or fund investments, optimizing allocation, rebalancing, and disposition timing to maximize risk-adjusted returns.

Management ActivityFunction
Performance monitoringTrack returns, NOI, occupancy vs targets
RebalancingAdjust allocations to maintain target mix
Harvest strategyTime asset sales for optimal value
Capital allocationDeploy capital to highest-return opportunities
Risk managementMonitor and mitigate concentration and market risks
ReportingInvestor communications, compliance, transparency
Key MetricsMeasurement
Portfolio IRRTime-weighted return across all assets
Cash-on-cash yieldAnnual income / equity invested
Occupancy rateWeighted average across portfolio
Tenant concentrationLargest tenant as percentage of income
Leverage ratioDebt / total portfolio value
Liquidity positionCash reserves / annual operating expenses


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