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Ten Year Performance Projection

Co-Living - Currently Occupied
Phoenix, AZ 85033
8bd • 3ba • Built: 1958

Projected IncomeYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Projected Rent $72,000$74,160$76,385$78,676$81,037$83,468$85,972$88,551$91,207$93,944
Vacancy Losses ($5,760)($5,933)($6,111)($6,294)($6,483)($6,677)($6,878)($7,084)($7,297)($7,515)
Operating Income $66,240$68,227$70,274$72,382$74,554$76,790$79,094$81,467$83,911$86,428
Estimated ExpensesYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Property Taxes($1,940)($1,998)($2,058)($2,120)($2,183)($2,249)($2,316)($2,386)($2,458)($2,531)
Insurance($1,455)($1,499)($1,544)($1,590)($1,638)($1,687)($1,737)($1,789)($1,843)($1,898)
Management Fees($6,624)($6,823)($7,027)($7,238)($7,455)($7,679)($7,909)($8,147)($8,391)($8,643)
Leasing/Advertising Fees$0$0$0$0$0$0$0$0$0$0
Association Fees$0$0$0$0$0$0$0$0$0$0
Maintenance($6,480)($6,674)($6,875)($7,081)($7,293)($7,512)($7,737)($7,970)($8,209)($8,455)
Other($9,336)($9,616)($9,905)($10,202)($10,508)($10,823)($11,148)($11,482)($11,827)($12,181)
Operating Expenses ($25,835)($26,610)($27,408)($28,231)($29,078)($29,950)($30,848)($31,774)($32,727)($33,709)
Income AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Net Operating Income $40,405$41,617$42,866$44,152$45,476$46,840$48,246$49,693$51,184$52,719
- Mortgage Payments($26,170)($26,170)($26,170)($26,170)($26,170)($26,170)($26,170)($26,170)($26,170)($26,170)
= Cash Flow $14,235$15,447$16,695$17,981$19,306$20,670$22,075$23,523$25,013$26,549
+ Principal Reduction $4,467$4,742$5,035$5,346$5,675$6,025$6,397$6,791$7,210$7,655
+ Appreciation $29,100$30,846$32,697$34,659$36,738$38,942$41,279$43,756$46,381$49,164
= Gross Equity Income $47,802$51,035$54,427$57,985$61,719$65,638$69,751$74,070$78,605$83,368
Capitalization Rate 7.9%7.6%7.4%7.2%7.0%6.8%6.6%6.4%6.2%6.1%
Cash on Cash Return 10.1%11.0%11.9%12.8%13.7%14.7%15.7%16.7%17.8%18.9%
Return on Equity 30.9%26.8%23.9%21.6%19.9%18.5%17.3%16.3%15.5%14.8%
Loan AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Market Value $514,100$544,946$577,643$612,301$649,039$687,982$729,261$773,016$819,397$868,561
- Loan Balance ($359,283)($354,541)($349,506)($344,160)($338,485)($332,460)($326,063)($319,271)($312,061)($304,406)
= Equity $154,817$190,405$228,137$268,141$310,555$355,522$403,198$453,745$507,336$564,155
Loan-to-Value Ratio 69.9%65.1%60.5%56.2%52.2%48.3%44.7%41.3%38.1%35.0%
Potential Cash-Out Refi $103,407$135,911$170,373$206,911$245,651$286,724$330,272$376,443$425,397$477,299
Sale AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Equity $154,817$190,405$228,137$268,141$310,555$355,522$403,198$453,745$507,336$564,155
- Closing Costs ($35,987)($38,146)($40,435)($42,861)($45,433)($48,159)($51,048)($54,111)($57,358)($60,799)
= Proceeds After Sale $118,830$152,259$187,702$225,280$265,122$307,363$352,150$399,634$449,979$503,356
+ Cumulative Cash Flow $14,235$29,681$46,376$64,358$83,663$104,333$126,409$149,931$174,945$201,494
- Approximate Cash Invested($140,650)($140,650)($140,650)($140,650)($140,650)($140,650)($140,650)($140,650)($140,650)($140,650)
= Net Profit ($7,585)$41,290$93,429$148,988$208,135$271,047$337,908$408,915$484,273$564,200
Internal Rate of Return -5.4%14.4%20.1%22.1%22.8%22.9%22.8%22.5%22.2%21.9%
Return on Investment -5.4%29.4%66.4%105.9%148.0%192.7%240.2%290.7%344.3%401.1%
*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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