Release: ARGUS Intelligence March 2026
Summary
Building on the property-level scenario simulation capability introduced in the January 2026 release, ARGUS Intelligence now extends this modeling functionality to the asset and portfolio levels. This release enables investment teams to test assumptions and assess risk exposure across entire asset portfolios in a single, unified workflow - directly supporting strategic decision-making under changing market conditions.
Key highlights
Asset Manager
Create and run scenario simulations at the asset level - in addition to individual property-level analysis - giving you a consolidated view of properties and models that sits under the asset
Export simulation outputs as PDF or JPG - for seamless reporting, stakeholder presentations, and audit trails
Share simulations or let it private - for teamwork and optimized workflows; only useful information is shared
Ability to generate AVUX files with the new assumptions - ARGUS files are generated from a property simulation to be imported in ARGUS Enterprise
Portfolio Manager
Create and run scenario simulations at the full portfolio level - stress-test assumptions, model market shifts, and evaluate risk exposure across your entire book in one unified workflow. Make faster, better-informed strategic decisions without manual aggregation across individual property or asset analyses. Ability to create scenario simulation at portfolio level
Simulation Results with dashboard KPIs on the Simulation Screen - The Simulation screen now surfaces the same KPIs available on standard dashboards, giving users a consistent analytical experience without switching views. The following outputs are available directly within the simulation interface: Spot KPIs, Graphs, Tables, Property & Asset Level KPIs
Export simulation outputs as PDF or JPG - for seamless reporting, stakeholder presentations, and audit trails
Share simulations or let it private - for teamwork and optimized workflows; only useful information is shared
What this means for customers
Users can model the aggregated financial impact of assumption changes across all underlying properties within an asset or across a full portfolio without needing to run property-by-property analyses.
Asset Manager
Faster, more confident decision-making: the ability to run multiple stress tests in one click and compare scenarios side by side at the asset level accelerates risk assessment and helps identify the most resilient investment strategies.
Improved collaboration and consistency: a centralized library for storing and reusing scenarios enables teams to share analytical approaches, access historical simulations, and maintain consistency across the organization.
Flexible simulation access controls: sharing and privacy settings give analysts control over when and with whom simulations are visible, supporting both exploratory individual work and structured team collaboration.
Reduced manual effort: intuitive input updates and real-time tracking eliminate the need to recreate scenarios from scratch or wait for batch processing, making iterative analysis more efficient.
Portfolio Manager
Faster, more confident decision-making: the ability to run multiple stress tests in one click and compare scenarios side by side at the Portfolio level accelerates risk assessment and helps identify the most resilient investment strategies.
Improved collaboration and consistency: a centralized library for storing and reusing scenarios enables teams to share analytical approaches, access historical simulations, and maintain consistency across the organization.
Flexible simulation access controls: sharing and privacy settings give analysts control over when and with whom simulations are visible, supporting both exploratory individual work and structured team collaboration.
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