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PENDING
Ten Year Performance Projection
28 padsplitGeorgia
8bd • 3ba • Built: 1962 • Remodeled: 2026
| Projected Income | Year 1 | Year 2 | Year 3 | Year 4 | Year 5 | Year 6 | Year 7 | Year 8 | Year 9 | Year 10 |
|---|---|---|---|---|---|---|---|---|---|---|
| Projected Rent | $88,392 | $91,044 | $93,775 | $96,588 | $99,486 | $102,471 | $105,545 | $108,711 | $111,972 | $115,332 |
| Vacancy Losses | ($8,839) | ($9,104) | ($9,378) | ($9,659) | ($9,949) | ($10,247) | ($10,554) | ($10,871) | ($11,197) | ($11,533) |
| Operating Income | $79,553 | $81,939 | $84,398 | $86,929 | $89,537 | $92,223 | $94,990 | $97,840 | $100,775 | $103,798 |
| Estimated Expenses | Year 1 | Year 2 | Year 3 | Year 4 | Year 5 | Year 6 | Year 7 | Year 8 | Year 9 | Year 10 |
|---|---|---|---|---|---|---|---|---|---|---|
| Property Taxes | ($6,107) | ($6,321) | ($6,542) | ($6,771) | ($7,008) | ($7,253) | ($7,507) | ($7,770) | ($8,042) | ($8,323) |
| Insurance | ($2,443) | ($2,528) | ($2,617) | ($2,708) | ($2,803) | ($2,901) | ($3,003) | ($3,108) | ($3,217) | ($3,329) |
| Management Fees | ($15,115) | ($15,568) | ($16,036) | ($16,517) | ($17,012) | ($17,522) | ($18,048) | ($18,590) | ($19,147) | ($19,722) |
| Leasing/Advertising Fees | ($2,500) | ($2,588) | ($2,678) | ($2,772) | ($2,869) | ($2,969) | ($3,073) | ($3,181) | ($3,292) | ($3,407) |
| Association Fees | $0 | $0 | $0 | $0 | $0 | $0 | $0 | $0 | $0 | $0 |
| Maintenance | ($3,536) | ($3,659) | ($3,788) | ($3,920) | ($4,057) | ($4,199) | ($4,346) | ($4,498) | ($4,656) | ($4,819) |
| Other | ($12,600) | ($13,041) | ($13,497) | ($13,970) | ($14,459) | ($14,965) | ($15,489) | ($16,031) | ($16,592) | ($17,173) |
| Operating Expenses | ($42,301) | ($43,705) | ($45,157) | ($46,658) | ($48,208) | ($49,810) | ($51,466) | ($53,177) | ($54,945) | ($56,773) |
| Income Analysis | Year 1 | Year 2 | Year 3 | Year 4 | Year 5 | Year 6 | Year 7 | Year 8 | Year 9 | Year 10 |
|---|---|---|---|---|---|---|---|---|---|---|
| Net Operating Income | $37,252 | $38,234 | $39,240 | $40,272 | $41,329 | $42,413 | $43,524 | $44,663 | $45,830 | $47,026 |
| - Mortgage Payments | ($22,999) | ($22,999) | ($22,999) | ($22,999) | ($22,999) | ($22,999) | ($22,999) | ($22,999) | ($22,999) | ($22,999) |
| = Cash Flow | $14,253 | $15,235 | $16,241 | $17,273 | $18,330 | $19,414 | $20,525 | $21,663 | $22,830 | $24,026 |
| + Principal Reduction | $3,149 | $3,369 | $3,603 | $3,854 | $4,122 | $4,409 | $4,716 | $5,045 | $5,396 | $5,772 |
| + Appreciation | $23,640 | $25,058 | $26,562 | $28,156 | $29,845 | $31,636 | $33,534 | $35,546 | $37,679 | $39,939 |
| = Gross Equity Income | $41,042 | $43,662 | $46,406 | $49,282 | $52,297 | $55,459 | $58,775 | $62,254 | $65,905 | $69,737 |
| Capitalization Rate | 8.9% | 8.6% | 8.4% | 8.1% | 7.8% | 7.6% | 7.3% | 7.1% | 6.9% | 6.7% |
| Cash on Cash Return | 12.7% | 13.6% | 14.5% | 15.4% | 16.3% | 17.3% | 18.3% | 19.3% | 20.3% | 21.4% |
| Return on Equity | 32.8% | 28.4% | 25.2% | 22.8% | 20.9% | 19.4% | 18.1% | 17.1% | 16.2% | 15.4% |
| Loan Analysis | Year 1 | Year 2 | Year 3 | Year 4 | Year 5 | Year 6 | Year 7 | Year 8 | Year 9 | Year 10 |
|---|---|---|---|---|---|---|---|---|---|---|
| Market Value | $417,640 | $442,698 | $469,260 | $497,416 | $527,261 | $558,897 | $592,430 | $627,976 | $665,655 | $705,594 |
| - Loan Balance | ($292,351) | ($288,982) | ($285,379) | ($281,525) | ($277,402) | ($272,993) | ($268,277) | ($263,232) | ($257,836) | ($252,064) |
| = Equity | $125,289 | $153,716 | $183,881 | $215,891 | $249,858 | $285,903 | $324,154 | $364,744 | $407,819 | $453,530 |
| Loan-to-Value Ratio | 70.0% | 65.3% | 60.8% | 56.6% | 52.6% | 48.8% | 45.3% | 41.9% | 38.7% | 35.7% |
| Potential Cash-Out Refi | $83,525 | $109,447 | $136,955 | $166,149 | $197,132 | $230,014 | $264,911 | $301,947 | $341,253 | $382,971 |
| Sale Analysis | Year 1 | Year 2 | Year 3 | Year 4 | Year 5 | Year 6 | Year 7 | Year 8 | Year 9 | Year 10 |
|---|---|---|---|---|---|---|---|---|---|---|
| Equity | $125,289 | $153,716 | $183,881 | $215,891 | $249,858 | $285,903 | $324,154 | $364,744 | $407,819 | $453,530 |
| - Closing Costs | ($29,235) | ($30,989) | ($32,848) | ($34,819) | ($36,908) | ($39,123) | ($41,470) | ($43,958) | ($46,596) | ($49,392) |
| = Proceeds After Sale | $96,055 | $122,727 | $151,033 | $181,072 | $212,950 | $246,781 | $282,684 | $320,786 | $361,223 | $404,138 |
| + Cumulative Cash Flow | $14,253 | $29,488 | $45,729 | $63,001 | $81,331 | $100,745 | $121,270 | $142,933 | $165,764 | $189,790 |
| - Approximate Cash Invested | ($112,290) | ($112,290) | ($112,290) | ($112,290) | ($112,290) | ($112,290) | ($112,290) | ($112,290) | ($112,290) | ($112,290) |
| = Net Profit | ($1,983) | $39,925 | $84,472 | $131,783 | $181,991 | $235,236 | $291,663 | $351,429 | $414,697 | $481,639 |
| Internal Rate of Return | -1.8% | 17.4% | 22.7% | 24.5% | 25.0% | 25.0% | 24.8% | 24.4% | 24.1% | 23.7% |
| Return on Investment | -1.8% | 35.6% | 75.2% | 117.4% | 162.1% | 209.5% | 259.7% | 313.0% | 369.3% | 428.9% |
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