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Ten Year Performance Projection
Cash Flow FourplexArkansas
8bd • 6ba • Built: 1972 • Remodeled: 2024
| Projected Income | Year 1 | Year 2 | Year 3 | Year 4 | Year 5 | Year 6 | Year 7 | Year 8 | Year 9 | Year 10 |
|---|---|---|---|---|---|---|---|---|---|---|
| Projected Rent | $63,360 | $65,261 | $67,219 | $69,235 | $71,312 | $73,452 | $75,655 | $77,925 | $80,263 | $82,670 |
| Vacancy Losses | ($5,069) | ($5,221) | ($5,377) | ($5,539) | ($5,705) | ($5,876) | ($6,052) | ($6,234) | ($6,421) | ($6,614) |
| Operating Income | $58,291 | $60,040 | $61,841 | $63,696 | $65,607 | $67,575 | $69,603 | $71,691 | $73,842 | $76,057 |
| Estimated Expenses | Year 1 | Year 2 | Year 3 | Year 4 | Year 5 | Year 6 | Year 7 | Year 8 | Year 9 | Year 10 |
|---|---|---|---|---|---|---|---|---|---|---|
| Property Taxes | ($6,000) | ($6,210) | ($6,427) | ($6,652) | ($6,885) | ($7,126) | ($7,376) | ($7,634) | ($7,901) | ($8,177) |
| Insurance | ($3,000) | ($3,105) | ($3,214) | ($3,326) | ($3,443) | ($3,563) | ($3,688) | ($3,817) | ($3,950) | ($4,089) |
| Management Fees | ($5,829) | ($6,004) | ($6,184) | ($6,370) | ($6,561) | ($6,758) | ($6,960) | ($7,169) | ($7,384) | ($7,606) |
| Leasing/Advertising Fees | ($2) | ($2) | ($2) | ($2) | ($2) | ($2) | ($2) | ($3) | ($3) | ($3) |
| Association Fees | $0 | $0 | $0 | $0 | $0 | $0 | $0 | $0 | $0 | $0 |
| Maintenance | ($3,168) | ($3,279) | ($3,394) | ($3,512) | ($3,635) | ($3,763) | ($3,894) | ($4,031) | ($4,172) | ($4,318) |
| Other | $0 | $0 | $0 | $0 | $0 | $0 | $0 | $0 | $0 | $0 |
| Operating Expenses | ($17,999) | ($18,600) | ($19,221) | ($19,863) | ($20,526) | ($21,212) | ($21,920) | ($22,653) | ($23,410) | ($24,192) |
| 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 | $40,292 | $41,440 | $42,620 | $43,834 | $45,081 | $46,364 | $47,682 | $49,038 | $50,432 | $51,865 |
| - Mortgage Payments | ($34,132) | ($34,132) | ($34,132) | ($34,132) | ($34,132) | ($34,132) | ($34,132) | ($34,132) | ($34,132) | ($34,132) |
| = Cash Flow | $6,160 | $7,308 | $8,488 | $9,702 | $10,949 | $12,232 | $13,551 | $14,906 | $16,300 | $17,733 |
| + Principal Reduction | $5,030 | $5,367 | $5,726 | $6,110 | $6,519 | $6,955 | $7,421 | $7,918 | $8,448 | $9,014 |
| + Appreciation | $36,000 | $38,160 | $40,450 | $42,877 | $45,449 | $48,176 | $51,067 | $54,131 | $57,379 | $60,821 |
| = Gross Equity Income | $47,190 | $50,835 | $54,664 | $58,688 | $62,917 | $67,363 | $72,039 | $76,955 | $82,127 | $87,568 |
| Capitalization Rate | 6.3% | 6.1% | 6.0% | 5.8% | 5.6% | 5.4% | 5.3% | 5.1% | 5.0% | 4.8% |
| Cash on Cash Return | 3.9% | 4.6% | 5.4% | 6.2% | 7.0% | 7.8% | 8.6% | 9.5% | 10.3% | 11.3% |
| Return on Equity | 24.7% | 21.7% | 19.5% | 17.8% | 16.5% | 15.4% | 14.5% | 13.8% | 13.2% | 12.6% |
| Loan Analysis | Year 1 | Year 2 | Year 3 | Year 4 | Year 5 | Year 6 | Year 7 | Year 8 | Year 9 | Year 10 |
|---|---|---|---|---|---|---|---|---|---|---|
| Market Value | $636,000 | $674,160 | $714,610 | $757,486 | $802,935 | $851,111 | $902,178 | $956,309 | $1,013,687 | $1,074,509 |
| - Loan Balance | ($444,970) | ($439,604) | ($433,877) | ($427,768) | ($421,249) | ($414,294) | ($406,873) | ($398,955) | ($390,506) | ($381,492) |
| = Equity | $191,030 | $234,557 | $280,732 | $329,718 | $381,686 | $436,818 | $495,305 | $557,354 | $623,181 | $693,017 |
| Loan-to-Value Ratio | 70.0% | 65.2% | 60.7% | 56.5% | 52.5% | 48.7% | 45.1% | 41.7% | 38.5% | 35.5% |
| Potential Cash-Out Refi | $127,430 | $167,141 | $209,271 | $253,970 | $301,393 | $351,706 | $405,088 | $461,723 | $521,812 | $585,566 |
| Sale Analysis | Year 1 | Year 2 | Year 3 | Year 4 | Year 5 | Year 6 | Year 7 | Year 8 | Year 9 | Year 10 |
|---|---|---|---|---|---|---|---|---|---|---|
| Equity | $191,030 | $234,557 | $280,732 | $329,718 | $381,686 | $436,818 | $495,305 | $557,354 | $623,181 | $693,017 |
| - Closing Costs | ($44,520) | ($47,191) | ($50,023) | ($53,024) | ($56,205) | ($59,578) | ($63,152) | ($66,942) | ($70,958) | ($75,216) |
| = Proceeds After Sale | $146,510 | $187,365 | $230,710 | $276,694 | $325,481 | $377,240 | $432,153 | $490,413 | $552,223 | $617,801 |
| + Cumulative Cash Flow | $6,160 | $13,469 | $21,957 | $31,659 | $42,608 | $54,841 | $68,391 | $83,298 | $99,598 | $117,331 |
| - Approximate Cash Invested | ($157,500) | ($157,500) | ($157,500) | ($157,500) | ($157,500) | ($157,500) | ($157,500) | ($157,500) | ($157,500) | ($157,500) |
| = Net Profit | ($4,830) | $43,334 | $95,167 | $150,853 | $210,589 | $274,580 | $343,044 | $416,210 | $494,321 | $577,632 |
| Internal Rate of Return | -3.1% | 13.1% | 17.6% | 19.1% | 19.6% | 19.6% | 19.4% | 19.1% | 18.8% | 18.5% |
| Return on Investment | -3.1% | 27.5% | 60.4% | 95.8% | 133.7% | 174.3% | 217.8% | 264.3% | 313.9% | 366.8% |
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