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Ten Year Performance Projection

Cash Flow Property
Indiana
3bd • 2ba • Built: 2026

Projected IncomeYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Projected Rent $34,200$35,568$36,991$38,470$40,009$41,610$43,274$45,005$46,805$48,677
Vacancy Losses ($2,736)($2,845)($2,959)($3,078)($3,201)($3,329)($3,462)($3,600)($3,744)($3,894)
Operating Income $31,464$32,723$34,031$35,393$36,808$38,281$39,812$41,404$43,061$44,783
Estimated ExpensesYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Property Taxes($7,000)($7,245)($7,498)($7,761)($8,032)($8,314)($8,605)($8,906)($9,217)($9,540)
Insurance($1,050)($1,087)($1,125)($1,164)($1,205)($1,247)($1,291)($1,336)($1,383)($1,431)
Management Fees($780)($811)($844)($877)($912)($949)($987)($1,026)($1,067)($1,110)
Leasing/Advertising Fees$0$0$0$0$0$0$0$0$0$0
Association Fees($360)($373)($386)($399)($413)($428)($443)($458)($474)($491)
Maintenance($684)($708)($733)($758)($785)($812)($841)($870)($901)($932)
Other$0$0$0$0$0$0$0$0$0$0
Operating Expenses ($9,874)($10,223)($10,585)($10,960)($11,348)($11,750)($12,166)($12,596)($13,042)($13,504)
Income AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Net Operating Income $21,590$22,499$23,446$24,433$25,461$26,531$27,646$28,808$30,018$31,279
- Mortgage Payments($17,885)($17,885)($17,885)($17,885)($17,885)($17,885)($17,885)($17,885)($17,885)($17,885)
= Cash Flow $3,705$4,615$5,562$6,548$7,576$8,646$9,762$10,923$12,134$13,394
+ Principal Reduction $3,536$3,735$3,946$4,169$4,404$4,652$4,915$5,192$5,485$5,794
+ Appreciation $17,500$18,374$19,293$20,258$21,271$22,334$23,451$24,624$25,855$27,147
= Gross Equity Income $24,741$26,724$28,801$30,975$33,250$35,633$38,127$40,739$43,473$46,336
Capitalization Rate 5.9%5.8%5.8%5.7%5.7%5.7%5.6%5.6%5.5%5.5%
Cash on Cash Return 3.6%4.5%5.4%6.4%7.4%8.4%9.5%10.6%11.8%13.0%
Return on Equity 22.8%20.5%18.7%17.4%16.3%15.4%14.7%14.1%13.6%13.1%
Loan AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Market Value $367,490$385,864$405,157$425,415$446,686$469,020$492,471$517,095$542,949$570,097
- Loan Balance ($258,957)($255,221)($251,275)($247,106)($242,702)($238,050)($233,135)($227,943)($222,459)($216,664)
= Equity $108,533$130,643$153,882$178,309$203,983$230,970$259,336$289,151$320,491$353,432
Loan-to-Value Ratio 70.5%66.1%62.0%58.1%54.3%50.8%47.3%44.1%41.0%38.0%
Potential Cash-Out Refi $16,661$34,177$52,593$71,955$92,312$113,715$136,218$159,878$184,753$210,908
Sale AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Equity $108,533$130,643$153,882$178,309$203,983$230,970$259,336$289,151$320,491$353,432
- Closing Costs ($25,724)($27,010)($28,361)($29,779)($31,268)($32,831)($34,473)($36,197)($38,006)($39,907)
= Proceeds After Sale $82,809$103,632$125,521$148,530$172,715$198,139$224,863$252,955$282,484$313,526
+ Cumulative Cash Flow $3,705$8,320$13,881$20,430$28,005$36,652$46,414$57,337$69,471$82,865
- Approximate Cash Invested($102,997)($102,997)($102,997)($102,997)($102,997)($102,997)($102,997)($102,997)($102,997)($102,997)
= Net Profit ($16,483)$8,955$36,405$65,962$97,724$131,793$168,279$207,294$248,958$293,393
Internal Rate of Return -16.0%4.3%11.0%13.8%15.2%15.9%16.2%16.3%16.3%16.3%
Return on Investment -16.0%8.7%35.3%64.0%94.9%128.0%163.4%201.3%241.7%284.9%
*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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