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Managing Portfolio Risk with Standardized Condition Data

A guide for asset owners and managers on closing the inspection gap across a portfolio — how standardized capture, AI quantification, and per-asset risk scoring turn scattered reports into a capital plan.
Most portfolios are inspected building by building, on different schedules, in different formats, which makes it impossible to compare assets or spot the ones heading toward emergency spend. This guide lays out how leading owners standardize condition data so risk becomes visible and rankable.
Learn more about:
- How to capture and quantify condition consistently across every asset (drones for exteriors, Lidar for interiors and parking)
- How a live, per-asset condition score lets you rank capital projects and justify CAPEX and OPEX
- How a standardized record supports lender and insurer due diligence and mandated inspection cycles
- How to close the gap between inspection cycles before small conditions become large ones
Portfolio owners, REITs, and facilities organizations responsible for capital allocation across many buildings.
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