quarterly-investor-update

Generate LP-ready CRE quarterly investor updates from portfolio performance data.

43|13|Updated Mar 17, 2026
One-click install
npx skills add https://github.com/mariourquia/cre-skills-plugin --skill quarterly-investor-update
Or copy as Structured Prompt for Agent▼
Please help me install this Agent Skill.
Skill: quarterly-investor-update
Source: https://github.com/mariourquia/cre-skills-plugin/tree/main/skills/quarterly-investor-update
Command: npx skills add https://github.com/mariourquia/cre-skills-plugin --skill quarterly-investor-update

SYSTEM DOCUMENTATION & REQUIREMENTS

💡 This Skill includes references (resource) components.

What problem does it solve?

This skill addresses the time-consuming, error-prone process of compiling quarterly investor letters for CRE portfolios by turning raw performance data into a coherent, LP-ready update.

Core Features & Use Cases

  • Portfolio-level and deal-level updates with NAV, NOI, distributions, and at-a-glance performance attribution.
  • Automated market commentary tailored to submarkets and asset-level drivers.
  • Appendix-ready outputs that align with LP reporting standards (NAV methodology, cap rate sensitivity, and distribution reconciliations).

Quick Start

To generate an investor update for a given quarter, provide portfolio data and let the system compile the letter.

Frequently Asked Questions about quarterly-investor-update

High-intent search queries and answers about installing and using this skill.

FAQPage Schema
How do I generate a CRE quarterly investor update from portfolio performance data?▼

To generate a CRE quarterly investor update, provide your raw portfolio performance data and the system compiles it into a coherent, LP-ready letter covering NAV, NOI, and distributions.

Can I include NAV methodology and cap rate sensitivity in an LP reporting update?▼

Yes, LP reporting updates include NAV methodology and cap rate sensitivity analyses. The outputs are appendix-ready and align with strict LP reporting standards for investor transparency.

What is the best way to automate market commentary for commercial real estate submarkets?▼

Automating market commentary for commercial real estate submarkets is handled by tailoring automated narrative outputs to submarkets and asset-level drivers based on your provided portfolio data.

Does this work for both portfolio-level and deal-level CRE reporting?▼

Yes, this works for both portfolio-level and deal-level CRE reporting. It generates updates featuring at-a-glance performance attribution, distribution reconciliations, and asset-level market commentary.

How do I reconcile distributions and NOI for a quarterly LP letter?▼

To reconcile distributions and NOI for a quarterly LP letter, the system processes your raw performance data to automatically compile distribution reconciliations and NOI metrics into the final update.

What data do I need to provide to auto-generate an LP-ready commercial real estate update?▼

You need to provide raw portfolio performance data to auto-generate an LP-ready commercial real estate update. The system then applies this data across NAV, NOI, and distribution metrics.