Real Estate Investment Banking Interview Case
Hi I have a 2nd round interview with a global asset manager in their Real Estate Investment Banking group (think of hybrid between a bank's real estate coverage group and brokerage services).
I was told that there will be a case study component where I have to model some high-level returns in Excel. Any idea on what I can expect for the modelling component and how to prepare? Thanks!
Is this Brookfield Financial?
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