Research & White Papers
Hedging Variable Rate Exposure in a Commercial Real Estate Debt Portfolio
Today’s increasingly complex commercial real estate portfolios require borrowers to take a sophisticated approach to manage risk and raise capital. In this latest white paper, Dan Hampton, Managing Director of Commercial Real Estate at BMO Harris Bank and Tim Huang, a Vice President of Financial Products at BMO Capital Markets, discuss how today’s financial markets provide you with the tools to maximize flexibility and preserve cost certainty. They highlight options to consider, including the use of interest rate derivatives—swaps and caps—and floating-rate loans.
Please do not include any sensitive or confidential information in your message. The information entered on this page will solely be used for the purposes of answering questions or providing additional information related to this specific topic. Your information will not be sold, rented or shared.
For your convenience, our site uses temporary cookies to store the above information during your visit. This means you won't have to re-enter these items each time you'd like to view one of our research studies, white papers, webinars or newsletters. This information is stored only during your current browser session. Once you close your browser, this information is deleted and you will be asked to re-enter the information upon your next visit.