National CRE Finance & Investment Event
Location
Manhattan in New York, New York
Start Date
September 30, 2026 8:00 AM
End Date
September 30, 2026 3:00 PM
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What You’ll Learn:
- How elevated (but stabilizing) interest rates, inflation trends and capital market uncertainty are shaping both short-term decision making and long-term investment strategies.
- Where debt is actually getting done today, from banks to private credit, and how spreads, leverage and structure are evolving across the capital stack.
- How investors are sourcing acquisitions in a market defined by stalled price discovery, selective distress and opportunities to buy assets at a lower basis.
- What equity partners, from institutional LPs to increasingly active family offices, are looking for in sponsors, structures and risk-adjusted returns.
- How borrowers are navigating the wave of maturing loans, including extensions, restructurings, recapitalizations and creative refinancing solutions.
- The reality of today’s development environment and how projects are getting financed despite high costs, tighter underwriting and capital constraints.
- The growing role of adaptive reuse and conversions, and how financing strategies are evolving to support office-to-residential and other repositionings.
- How lenders and investors are balancing risk and return today, including where they are pulling back and where they are leaning in across asset classes and markets.
- What macroeconomic signals are most influencing deal volume, pricing and investor sentiment heading into 2026.
- Lessons learned from this market cycle and how top firms are positioning themselves to capitalize on the next wave of opportunities.