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New Construction in Birmingham Metro
Alabaster, AL 35007
4bd • 2ba • Built: 2026

Projected IncomeYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Projected Rent $25,200$26,208$27,256$28,347$29,480$30,660$31,886$33,161$34,488$35,867
Vacancy Losses ($2,016)($2,097)($2,181)($2,268)($2,358)($2,453)($2,551)($2,653)($2,759)($2,869)
Operating Income $23,184$24,111$25,076$26,079$27,122$28,207$29,335$30,509$31,729$32,998
Estimated ExpensesYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Property Taxes($2,477)($2,552)($2,628)($2,707)($2,788)($2,872)($2,958)($3,047)($3,138)($3,233)
Insurance($1,525)($1,570)($1,617)($1,666)($1,716)($1,767)($1,820)($1,875)($1,931)($1,989)
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($480)($494)($509)($525)($540)($556)($573)($590)($608)($626)
Maintenance($504)($519)($535)($551)($567)($584)($602)($620)($638)($658)
Other$0$0$0$0$0$0$0$0$0$0
Operating Expenses ($4,986)($5,136)($5,290)($5,448)($5,612)($5,780)($5,954)($6,132)($6,316)($6,506)
Income AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Net Operating Income $18,198$18,976$19,786$20,630$21,510$22,427$23,382$24,376$25,413$26,492
- Mortgage Payments($16,131)($16,131)($16,131)($16,131)($16,131)($16,131)($16,131)($16,785)($16,785)($16,785)
= Cash Flow $2,067$2,845$3,655$4,500$5,379$6,296$7,251$7,592$8,628$9,708
+ Principal Reduction $5,144$5,347$5,558$5,777$6,005$6,242$6,488$10,167$10,450$10,741
+ Appreciation $22,869$24,241$25,696$27,237$28,872$30,604$32,440$34,387$36,450$38,637
= Gross Equity Income $30,080$32,433$34,909$37,514$40,256$43,142$46,179$52,145$55,527$59,085
Capitalization Rate 4.5%4.4%4.4%4.3%4.2%4.1%4.1%4.0%3.9%3.9%
Cash on Cash Return 2.0%2.8%3.6%4.4%5.3%6.2%7.1%7.4%8.5%9.5%
Return on Equity 24.4%21.2%19.0%17.3%16.0%14.9%14.1%14.0%13.2%12.6%
Loan AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Market Value $404,019$428,260$453,956$481,193$510,065$540,669$573,109$607,495$643,945$682,582
- Loan Balance ($280,718)($275,371)($269,813)($264,035)($258,030)($251,788)($245,299)($235,133)($224,683)($213,943)
= Equity $123,301$152,889$184,143$217,158$252,035$288,881$327,809$372,362$419,262$468,639
Loan-to-Value Ratio 69.5%64.3%59.4%54.9%50.6%46.6%42.8%38.7%34.9%31.3%
Potential Cash-Out Refi $42,497$67,237$93,352$120,919$150,022$180,747$213,188$250,863$290,473$332,123
Sale AnalysisYear 1Year 2Year 3Year 4Year 5Year 6Year 7Year 8Year 9Year 10
Equity $123,301$152,889$184,143$217,158$252,035$288,881$327,809$372,362$419,262$468,639
- Closing Costs ($28,281)($29,978)($31,777)($33,684)($35,705)($37,847)($40,118)($42,525)($45,076)($47,781)
= Proceeds After Sale $95,020$122,911$152,366$183,474$216,330$251,034$287,692$329,838$374,186$420,858
+ Cumulative Cash Flow $2,067$4,912$8,567$13,067$18,446$24,742$31,993$39,585$48,213$57,920
- Approximate Cash Invested($101,958)($101,958)($101,958)($101,958)($101,958)($101,958)($101,958)($101,958)($101,958)($101,958)
= Net Profit ($4,871)$25,865$58,976$94,584$132,819$173,819$217,727$267,465$320,441$376,821
Internal Rate of Return -4.8%12.1%16.7%18.3%18.8%18.8%18.6%18.5%18.2%17.9%
Return on Investment -4.8%25.4%57.8%92.8%130.3%170.5%213.5%262.3%314.3%369.6%
*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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