The investment management platform, CWCapital Investments (CWCI), is focused on the investment and management of a diverse range of sophisticated real estate debt products including CMBS, CDOs, Mezzanine Debt, B Notes and Structured Loans. Led by a team of highly regarded professionals with extensive tenure, firmly established industry relationships and a command of both real estate and capital markets trends, this platform provides a wide array of services capitalizing on its unique breadth of expertise.
Managing a diverse portfolio with assets under management in excess of $11 billion, representing underlying real estate values approximating $200 billion, CW closely tracks market trends and strives to develop new products and services in response to those trends. With extensive in-house capabilities in loan structuring, originating and servicing, securitization, and portfolio management and analysis, CW is well positioned to apply its in-depth knowledge to advise separately managed clients and an array of commingled investment vehicles.
CW has responded to the current economic conditions by leveraging its intellectual capital in new ways, offering independent analytic and evaluation services , including credit risk management, to a distinguished group of clients through CW Risk Management Solutions (RMS). In addition, through Maximus Advisors, CW’s highly regarded research business unit, the platform offers a wide range of global and regional economic and real estate market research and consulting services.