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Ten Year Performance Projection

Brand New SFH in A+ Area
Oklahoma
4bd • 2ba • Built: 2026

Projected IncomeYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Projected Rent $25,800$26,574$27,371$28,192$29,038$29,909$30,807$31,731$32,683$33,663
Vacancy Losses ($2,064)($2,126)($2,190)($2,255)($2,323)($2,393)($2,465)($2,538)($2,615)($2,693)
Operating Income $23,736$24,448$25,182$25,937$26,715$27,517$28,342$29,192$30,068$30,970
Estimated ExpensesYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Property Taxes($4,759)($4,925)($5,098)($5,276)($5,461)($5,652)($5,850)($6,054)($6,266)($6,485)
Insurance($1,428)($1,478)($1,529)($1,583)($1,638)($1,696)($1,755)($1,816)($1,880)($1,946)
Management Fees$0$0$0$0$0$0$0$0$0$0
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($516)($534)($553)($572)($592)($613)($634)($656)($679)($703)
Other$0$0$0$0$0$0$0$0$0$0
Operating Expenses ($6,702)($6,937)($7,180)($7,431)($7,691)($7,960)($8,239)($8,527)($8,825)($9,134)
Income AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Net Operating Income $17,034$17,511$18,002$18,506$19,024$19,556$20,103$20,665$21,243$21,836
- Mortgage Payments($15,268)($15,268)($15,268)($15,268)($15,268)($15,268)($15,268)($15,268)($15,268)($15,268)
= Cash Flow $1,766$2,243$2,734$3,238$3,756$4,289$4,835$5,397$5,975$6,568
+ Principal Reduction $2,334$2,487$2,651$2,825$3,010$3,208$3,418$3,643$3,882$4,137
+ Appreciation $20,394$21,618$22,915$24,290$25,747$27,292$28,929$30,665$32,505$34,455
= Gross Equity Income $24,494$26,348$28,299$30,352$32,513$34,788$37,183$39,705$42,361$45,160
Capitalization Rate 4.7%4.6%4.4%4.3%4.2%4.1%3.9%3.8%3.7%3.6%
Cash on Cash Return 1.2%1.5%1.8%2.1%2.5%2.8%3.2%3.5%3.9%4.3%
Return on Equity 15.4%14.4%13.6%12.9%12.3%11.8%11.4%11.0%10.6%10.3%
Loan AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Market Value $360,294$381,912$404,826$429,116$454,863$482,155$511,084$541,749$574,254$608,709
- Loan Balance ($201,606)($199,119)($196,468)($193,643)($190,633)($187,426)($184,008)($180,365)($176,483)($172,347)
= Equity $158,688$182,793$208,358$235,472$264,229$294,729$327,076$361,384$397,770$436,362
Loan-to-Value Ratio 56.0%52.1%48.5%45.1%41.9%38.9%36.0%33.3%30.7%28.3%
Potential Cash-Out Refi $68,615$87,315$107,152$128,193$150,514$174,190$199,305$225,947$254,207$284,185
Sale AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Equity $158,688$182,793$208,358$235,472$264,229$294,729$327,076$361,384$397,770$436,362
- Closing Costs ($25,221)($26,734)($28,338)($30,038)($31,840)($33,751)($35,776)($37,922)($40,198)($42,610)
= Proceeds After Sale $133,468$156,059$180,020$205,434$232,389$260,978$291,300$323,461$357,573$393,753
+ Cumulative Cash Flow $1,766$4,009$6,744$9,982$13,738$18,027$22,862$28,260$34,234$40,802
- Approximate Cash Invested($152,955)($152,955)($152,955)($152,955)($152,955)($152,955)($152,955)($152,955)($152,955)($152,955)
= Net Profit ($17,722)$7,114$33,809$62,461$93,172$126,050$161,208$198,766$238,852$281,600
Internal Rate of Return -11.6%2.3%7.0%9.1%10.2%10.8%11.2%11.4%11.5%11.5%
Return on Investment -11.6%4.7%22.1%40.8%60.9%82.4%105.4%130.0%156.2%184.1%
*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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