COSTAR DEBT SOLUTIONS

A unified CRE Debt Intelligence Platform for Risk Management and Portfolio Decisions 

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CoStar Debt Solutions connects your loan portfolio to the industry’s most comprehensive commercial real estate data, analytics, and advanced credit modeling in a single platform, enabling continuous portfolio surveillance, CRE risk management, and more informed capital decisions across the lifecycle of a loan.

What You Can Do with CoStar Debt Solutions

Portfolio Surveillance

Continuously monitor LTV, DSCR, expected loss, and debt yield across the entire portfolio as conditions evolve. Drill down from portfolio insight to loan and property detail to understand what is driving risk.

Risk Management

Identify, quantify, and monitor portfolio exposure drivers and concentration risk across tenants, markets, property types, and borrowers, and apply structured scenario analysis to assess how changes in market conditions affect portfolio risk.

Regulatory & Capital Reporting

Support portfolio concentration and exposure analysis, loss estimation, CECL, capital adequacy assessments, and regulatory stress testing including CCAR and DFAST, using a proven credit default model with governed methodologies and transparency.

Loan Screening & Underwriting

Screen loans across millions of properties with immediate market, property, and tenant context. Each opportunity includes a Loan Risk Card that consolidates key risk indicators into a single decision-ready view for faster, more consistent credit evaluation.

Enterprise-Grade Integration, Built on CoStar Infrastructure

Your CRE loan portfolio data is securely integrated into the CoStar platform. Each loan is enriched with current market, property, tenant, and risk intelligence to accelerate analysis and support more informed decisions.

Investment Funds
Tenants
Directory
Owners

Built on the Most Trusted CRE Data and Analytics Platform

CoStar Debt Solutions delivers continuously updated CRE intelligence, sourced from direct research, proprietary and third-party data, and market participants. Unified within a single platform, this intelligence provides clear visibility into exposure, concentration, and portfolio risk.

Debt teams across banks, credit unions, private lenders, large funds, insurance companies, and agency lenders rely on CoStar for portfolio surveillance, CRE risk management, and reporting through market cycles.

7.3M

Commercial Properties

8M

Tenant Locations

19K

Markets & Submarkets

22+ Years

Historical CRE Loan Performance Data

See how CoStar Debt Solutions supports portfolio surveillance, commercial real estate risk management and decision-making.

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