Careful analysis is the key to making successful and profitable choices and decisions in the Secondary Market. If you are a market professional (e.g., lender, servicer, investor, loan officer, or realtor), our all-inclusive data and tools enable you to research loan quality, owner records, bond prices and values, and collateral risk. Use our predictive modeling tools to forecast trends and fluctuations in order to package loans, analyze new and seasoned loans, and develop analytical models.
Choose from the categories below:
Measure, evaluate, and mitigate portfolio risk, benchmark use against industry standards, and reveal promising market opportunities.
It’s all about the right mix – isn’t it? Realize maximum profitability by optimizing your pool package of newly closed loans and ensuring it has the right mix of credit and collateral compliant loans.
Identify Real Estate market trends to ensure you are generating leads appropriate to forecasts. Track market activity and market share, and locate expansion.
Mitigate portfolio performance risk. If you are a lender, determine if you are able to meet commitments to investors and reduce the risk for prepayment penalties and repurchases. If you are an investor, determine if your underlying collateral has the necessary value.
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