KEL PortfolioPlus provides unprecedented forecasting and analysis of alternative assumptions without the need to either import data or copy and paste into spreadsheets. Whether buying or selling properties, exploring tenant break or failure possibilities, or stress testing a portfolio anticipating changes in market conditions; portfolio reports can be generated in minutes.
The clear workflow guides the user through the program from modelling portfolio level adjustments to cap ex and sales/purchases to rental growth, yields and void assumptions.
From preparing alternative scenarios for Investment Committee papers to stress testing whole portfolios with changing market assumptions to calculating the portfolio effect of sales and purchases.
Uses ‘live’ valuation data supplemented by an import capability (useful for indexation and rental growth). Allows for alternative scenarios for interim and exit valuations to be created at a ‘click of the button’.
Clear and transparent reporting of valuations, cashflows, cap ex, time/money weighted returns and loan assumptions.
Paul Morrison (Director) - Norton Highfield Ltd
We have been using Kel for nearly a year now and the transition has been very good. I have been able to use the software for the benefit of small investors, developers and trustees of estates. it's been a tremendous boost to our workload. The staff at KEL are extremely knowledgeable not only on the use of the software but the technical aspects of the different uses so well done I am so impressed, just what we wanted from a software provider.