Oaktree Capital Management - Real Estate Debt Strategy Case Study

Hey Monkeys I am to posting so bear with me. Anyone know what to expect for an entry level ~2h case study for Oaktree's RE Debt team? Assuming it is going to give some basic assumptions on exit / entry cap rates, options for debt financing, building characteristics and ask general questions on LIRR & IRR / sensitivity analysis. Nut sure what else to expect here. 

- Waterfall? 3 statement LBO? Built from scratch? Presentation? Perfection?

Any resources or guidance would be helpful. It is very broad, but any insights on what can be expected is certainly appreciated.

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