We recently closed a non-recourse loan that really highlights how we approach financing with our clients. In this case, we worked closely with the sponsor to tailor a structure that fit their long-term hold strategy, focusing on maximizing cash flow and avoiding the need to refinance anytime soon.
Key terms include:
• 15 year fixed term
• 15 year interest-only period
• Non-recourse loan
• 135 basis point spread over the U.S. 10-year Treasury
This is exactly what we aim for — structuring financing around the client’s strategy. Whether it’s optimizing cash flow or locking in long-term stability, every deal is built to support our client’s bigger vision.
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