Property Report: TEMPLATE-CASH RENTAL

Property Report :

TEMPLATE-CASH

TBD, TBD, WA

Created on: Apr 16, 2025

Author: Maynard Wagner

TBD, TBD, WA

Singlefamily:

Investment strategy: Rental Property

Purchase Price$ 275,000
Rent$ 1,800/mo
Monthly Cash Flow$ 1,067
Cash on Cash Return4.61 %

Financial Analysis

Cash on Cash Return 4.61 %
Internal Rate of Return (IRR) 6.48 %
Capitalization Rate 4.65 %
Gross Rent Multiplier (GRM) 12.75
Debt-coverage Ratio (DCR) 0.00
Operating Expense Ratio (OER) 35.57 %
After Repair Value $ 275,500

Financial Breakdown

Purchase Price $ 275,000
Purchase Costs $ 2,000
Repair/Construction Costs $ 500
Total Capital Needed
$ 277,500
Financing $ 0
Total Cash Needed
$ 277,500
Cash at Closing
$ 0
Cash During Rehab
$ 277,500

Operating Analysis

Rent $ 1,800/mo
Gross Operating Income (GOI) $ 19,872
Total Expenses $ 7,068
Net Operating Income (NOI) $ 12,804
Annual Debt Service $ 0
Cash Flow Before Taxes (CFBT) $ 12,804
Income Tax Liability $ 1,201
Cash Flow After Taxes (CFAT) $ 11,603

Need to modify: 1) Address 2) Property Value Info 3) Property Incomes 4) Property Expenses. Review pro forma for updates.

Purchase Price $ 275,000
Address TBD , TBD, WA
Type Singlefamily
TBD TBD, WA
  • $ 275,500

    Property ARV
  • Singlefamily

    Bldg type

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Property address Distance Beds Baths SqFt Bldg type Date sold Sale price $/SqFt Notes Edit
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Estimated ARV:
$ 0

Comps selected: 0

Annual Property Operating Data

Incomes % of GOI
Gross Scheduled Income
$ 21,600    
Total Gross Income $ 21,600  
Vacancy loss
$ 1,728  
Gross Operating Income
$ 19,872 100.00 %
Expenses
Repairs $ 4,692 23.61 %
Manager $ 1,728 8.70 %
Prop_taxes $ 216 1.09 %
Prop_insurance $ 432 2.17 %
Total Expenses $ 7,068 35.57 %
Net Operating Income
$ 12,804 64.43 %

Cash Flow (Year 1)

Net Operating Income $ 12,804 64.43 %
Annual Debt Service $ 0 0.00 %
Cash Flow Before Taxes (CFBT)
$ 12,804 64.43 %
Income Tax Liability $ 1,201 6.04 %
Cash Flow After Taxes (CFAT)
$ 11,603 58.39 %

Operating Ratios

Operating Expense Ratio
35.57 %
Break-Even Ratio
35.57 %

Financial Measures

Net Present Value
$ -17,529
Internal Rate of Return
6.48 %
Profitability Index
0.94
Annual Depreciation $ 8,000

Holding period of 5 years and discount rate of 8.00% were used for calculation of NPV and IRR. The rest of the financial measures are for the 1st year only and therefore don't provide such an exact information.

Investment Return Ratios

Cash on Cash Return
4.61 %
Return on Investment
8.58 %
Capitalization Rate
4.65 %
Gross Rental Yield
7.85 %
Gross Rent Multiplier
12.75

There is no financing selected in this deal.

This chart shows the process of accumulation of investor's equity. There is some equity created right at the beginning with the rehab/construction and later investor's equity is rising by paying off the principal of the loan and also by appreciation over the years. All the green parts is the cummulative equity belonging to the investor and the red part belongs to the lender.

Year
Operational Analysis
Gross Scheduled Income
Vacancy Loss
Gross Operating Income
Expenses
Net Operating Income
Cash Flow
Repairs/Construction
Cash Flow Before Taxes
Depreciation 0
Taxes
Cash Flow After Taxes

Note: All amounts in the table above are in $

Resale Price Evaluation Methods

The property is sold after 5 years. Below is the resale price calculated using different methods.

Appreciation (4.00%) $ 335,188
Cap Rate (3.93%) & NOI $ 396,865
Gross Rent Multiplier $ 322,179

Sale Proceeds

Projected Selling Price $ 335,188
Costs of Sale (8.00%) $ 26,815
Net Sale Proceeds Before Tax $ 308,373

In the resale analysis we do not include any calculation for taxes that might be owed on sale of the property. The tax laws for the resale are rather complex and subjected to frequent changes.

Net Assets and Yield

Net Assets
Sale Proceeds Before Tax $ 308,373
Investor Cash Outlay $ 277,500
Net Assets $ 30,873
Average Yield
Annual Net Assets $ 6,175
Average Cash Flow (After Taxes) $ 0
Average Annual Gain (After Taxes) $ 0
Average Annual Yield (After Taxes) 0.00 %

This charts shows Net Present Value (NPV) when property is sold in various years, i.e. when sold in 5th year, the NPV is calculated from 5 years of Cash Flow (including the selling price) and this NPV is displayed in year 5. Optimal holding period can be estimated, using this method - when NPV is the highest. Please note that appreciation growth can change these numbers greatly. It sometimes makes sense to sell the property even before the end of the mortgage term.

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