Versions
To satisfy the different levels of analysis purposes, the model provides basic and premium versions.
The basic version includes:
Pro-forma P&L
Scenarios
Break-Even Vacancy
IRR
Visualizations
The premium version – comprehensive analysis includes:
Pro-forma P&L
Scenarios
Break-Even Vacancy
IRR
Visualizations
IRR Partitioning
Sensitivity Analysis
Hold/Sell Analysis
Next Buyer Return Analysis
Users can freely select the version that meets their needs for the analysis.
This model is based on a 10-year purchase, rent, and sell real estate project by which users can perform a quick and comprehensive analysis of the profitability, return, and break-even to get a deep understanding of the investment and help to make a better decision.
The model is designed for the purpose of
– Financial forecast of Business Plan
– Equity research
– Valuation template for companies in the industry
– Academic use
The model is ready-to-use and is well structured based on the Best Practice of Financial Modeling and utilized a One-Page Model style that facilitates users to easily follow the logic of the model and understand the formula of the calculation without the need to switch from sheet to sheet.
The template is greatly user-friendly either for professional analysts or for users with little experience in financial modeling since its simply design pattern and easy-to-follow logic.
Customer Support
To guarantee the user’s satisfaction, the model does not place any complicated formulas or VBA codes. The structure and content have been created following the Best Dashboard Principles and considering the high level of flexibility and user-friendly priority.
Please feel free to contact us if you experience any problems when using the models provided. In addition, if you need a customized model for your specific business, please just let us know, and we would be happy to help you with this.
Model Structure
1. TOC – Table of Content
2. Basic Model includes—
1) Assumptions
2) Pro-forma P&L
3) Break-Even Vacancy
4) Returns
5) Graphics
Premium Model includes:
1) Assumptions
2) Pro-forma P&L
3) Break-Even Vacancy
4) Returns
5) IRR Partitioning
6) Hold/Sell Analysis
7) Sensitivity on Purchase & Exit Cap-Rate
8) Graphics
9) Next Buyer Return Analysis
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