Knowledge is critical to investment decisions. The more complex the asset, the more difficult it is to discover true value. Investors are wise to move cautiously in these markets and align with powerful and knowledgeable industry players who can uncover values and maximize returns.

Due Diligence and Valuation
The complexity of construction loans and the range of players involved often make it difficult to determine both the value and the viability of these investments. MARC has the proprietary tools and the industry experience to help you understand construction-related assets before you buy them. Our process begins with trained land and construction experts examining data and loan files to verify critical valuation parameters such as percent of project complete versus percent disbursed, pace to maturity, cost to complete, and lien conditions. Using this information in conjunction with qualitative loan file data, we assess portfolio value, given specific return hurdles and investment timelines, as well as underlying asset risk. Our team also has specific knowledge of structured regulatory transactions and the ability to help bid these complex sales.

Asset Management and Disposition
If you’re looking to invest in construction-related assets but lack the expertise to manage them, MARC can manage your portfolio to its highest return. MARC’s proprietary models make valuation—and the separation of assets into performing and nonperforming pools—easier and more accurate. MARC can manage and service performing assets, including payment processing, reconveyance, loan administration, fund control, and draw processing. MARC can also help you recover maximum value from nonperforming loans. We assign them to highly qualified asset managers who understand every nuance of the assets they oversee and are equipped to make ongoing exit decisions for each individual case. MARC handles the entire exit process, from REO maintenance and property preservation through the final sale. We also understand the subtleties of investor reporting, including accommodations for government structured transactions. Our team has managed billions of dollars in construction assets, from origination to completion, and we’ll integrate seamlessly with your organization.

Investor Reporting
MARC maintains a library of standard investor reports to augment our servicing and asset management capabilities. Reports are focused on both loan-level metrics as well as aggregated portfolio information tracking overall migrations and performance. In addition to investor reports, MARC has direct experience with federal regulatory reporting requirements for structured transactions from failed institutions.