Fund Modelling

Optimize strategic planning and performance for your real estate investments

To stay competitive, real estate organizations must rely on detailed, flexible modeling and sensitivity analysis to gain competitive advantage and maximize risk-adjusted returns. MRI’s real estate Fund Modeling software provides portfolio, fund and treasury managers a clear and accurate picture of historical, current and forecasted performance of their fund, including its value, risk factors and constraint parameters. With powerful performance forecasting, transactional simulations and scenario testing, Fund Modeling enables your real estate organization to craft a strategic plan, make decisions, transact efficiently and optimize portfolio performance.


Timely strategic planning

Leverage a powerful calculation engine, dynamic reporting & scenario analysis to speed up your strategic planning process.

Risk management

Reduce errors and manage risk and exposure through standard and custom reporting.

Fund modeling

Get intuitive modeling of complex fund structures, step-up and step-down events and multi-tier waterfall capabilities.

Assess business impact

Perform transactional simulations, scenario analyses and sensitivity testing to understand potential impacts on your investment portfolio.


  • Craft your strategic plan using a powerful calculation engine, dynamic reporting and scenario analysis.

  • Manage strategic risk and exposure through standard and custom reporting.

  • Optimize performance with scenario modeling and planning at the fund level.

  • Save time and prevent errors using a single repository for data and documents.

  • Build stakeholder confidence with flexible, executive reporting.

  • Gain competitive advantage by analyzing detailed, flexible modeling and sensitivity.

Fund Modeling Software


Find out more

If you would like to find out more about our real estate fund modeling software, please get in touch today.