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Ten Year Performance Projection

Cash - Cottage
Phoenix, AZ 85037
2bd • 2ba • Built: 2026

Projected IncomeYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Projected Rent $24,000$24,720$25,462$26,225$27,012$27,823$28,657$29,517$30,402$31,315
Vacancy Losses ($1,920)($1,978)($2,037)($2,098)($2,161)($2,226)($2,293)($2,361)($2,432)($2,505)
Operating Income $22,080$22,742$23,425$24,127$24,851$25,597$26,365$27,156$27,970$28,809
Estimated ExpensesYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Property Taxes($1,518)($1,563)($1,610)($1,658)($1,708)($1,759)($1,812)($1,866)($1,922)($1,980)
Insurance($506)($521)($537)($553)($569)($586)($604)($622)($641)($660)
Management Fees($1,766)($1,819)($1,874)($1,930)($1,988)($2,048)($2,109)($2,172)($2,238)($2,305)
Leasing/Advertising Fees$0$0$0$0$0$0$0$0$0$0
Association Fees($2,388)($2,460)($2,533)($2,609)($2,688)($2,768)($2,851)($2,937)($3,025)($3,116)
Maintenance($480)($494)($509)($525)($540)($556)($573)($590)($608)($626)
Other$0$0$0$0$0$0$0$0$0$0
Operating Expenses ($6,658)($6,858)($7,063)($7,275)($7,493)($7,718)($7,950)($8,188)($8,434)($8,687)
Income AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Net Operating Income $15,422$15,885$16,361$16,852$17,358$17,879$18,415$18,967$19,536$20,122
- Mortgage Payments$0$0$0$0$0$0$0$0$0$0
= Cash Flow $15,422$15,885$16,361$16,852$17,358$17,879$18,415$18,967$19,536$20,122
+ Principal Reduction $0$0$0$0$0$0$0$0$0$0
+ Appreciation $20,234$21,448$22,735$24,099$25,545$27,078$28,703$30,425$32,251$34,186
= Gross Equity Income $35,657$37,333$39,097$40,952$42,903$44,957$47,118$49,392$51,787$54,308
Capitalization Rate 4.3%4.2%4.1%4.0%3.8%3.7%3.6%3.5%3.4%3.3%
Cash on Cash Return 4.5%4.7%4.8%4.9%5.1%5.2%5.4%5.6%5.7%5.9%
Return on Equity 10.0%9.9%9.7%9.6%9.5%9.4%9.3%9.2%9.1%9.0%
Loan AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Market Value $357,474$378,923$401,658$425,758$451,303$478,381$507,084$537,509$569,760$603,945
- Loan Balance $0$0$0$0$0$0$0$0$0$0
= Equity $357,474$378,923$401,658$425,758$451,303$478,381$507,084$537,509$569,760$603,945
Loan-to-Value Ratio 0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%
Potential Cash-Out Refi $321,727$341,031$361,492$383,182$406,173$430,543$456,376$483,758$512,784$543,551
Sale AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Equity $357,474$378,923$401,658$425,758$451,303$478,381$507,084$537,509$569,760$603,945
- Closing Costs ($25,023)($26,525)($28,116)($29,803)($31,591)($33,487)($35,496)($37,626)($39,883)($42,276)
= Proceeds After Sale $332,451$352,398$373,542$395,955$419,712$444,895$471,588$499,884$529,877$561,669
+ Cumulative Cash Flow $15,422$31,307$47,668$64,521$81,878$99,757$118,172$137,139$156,675$176,798
- Approximate Cash Invested($340,612)($340,612)($340,612)($340,612)($340,612)($340,612)($340,612)($340,612)($340,612)($340,612)
= Net Profit $7,261$43,093$80,598$119,863$160,978$204,039$249,148$296,410$345,940$397,855
Internal Rate of Return 2.1%6.3%7.6%8.3%8.7%8.9%9.1%9.2%9.2%9.3%
Return on Investment 2.1%12.7%23.7%35.2%47.3%59.9%73.1%87.0%101.6%116.8%
*Information is not guaranteed and investors should do their own research, get professional advice and conduct due diligence prior to investing.
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