CoStar's Risk Analytics Team works with market participants across the commercial real estate (CRE) lending spectrum. Our debt-specific analytics help lenders and debt investors evaluate markets, properties, and loans based on the most complete building-level database in the industry. We link market fundamentals, performance forecasts, and our highly validated credit model together with your loan portfolio, ensuring the consistent application of a market view throughout the life cycle of your investments. Client outcomes include enhanced ability to target new business, price loans, make informed credit decisions, apply stress testing and surveillance measures to active portfolio management, and assess refinance risk - all while executing within a disciplined framework.