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Detailed Rental Investment Report
St Louis, MO 63111
 
Property Information   
Property Purchase / List Price$ 117,000.00    
Closing Costs and Prepaids$ 4,000.00    
TOTAL$ 121,000.00    
    
Annual Loan Payments$ 0.00    
Appraised / Estimated Property Value$ 130,000.00    
    
Down Payment$ 121,000.00    
Loan Amount$ 0.00    
TOTAL$ 121,000.00    
    
Property Income   
Gross Scheduled Income$ 7,600.00    
TOTAL$ 7,600.00    
Vacancy$ 760.00    
Effective Gross Income$ 6,840.00    

 

    
Property Expenses   
Expenses$ 4,089.00    
TOTAL$ 4,089.00    

 
    
Investment Analysis   
Effective Gross Income$ 6,840.00    
Total Operating Expenses$ 4,089.00    
Net Operating Income$ 2,751.00    
Annual Debt Service$ 0.00    
Before Tax Cash Flow$ 2,751.00    
After Tax Cash Flow$ 2,200.80    
Expenses % of Gross Scheduled Income53.803%    
Total Expenses + Vacancy63.803%    
Gross Scheduled Income Remaining before Debt Service36.197%    
Debt Service Percentage of Gross Scheduled Income0.000%    
Debt Service Percentage of Effective Gross Income0.000%    
Gross Scheduled Income Remaining after Debt Service36.197%    
Before Tax Cash Flow Percentage of Gross Scheduled Income36.197%    
Before Tax Cash Flow Percentage of Effective Gross Income40.219%    
After Tax Cash Flow Percentage of Gross Scheduled Income28.958%    
After Tax Cash Flow Percentage of Effective Gross Income32.175%    

 
    
Investment Metrics   
Debt Service Coverage Ratio (DSCR)0.000    
Annual Gross Rent Multiplier (GRM)15.395    
Monthly Gross Rent Multiplier (GRM)184.737    
Capitalization Rate (CAP RATE)2.351%    
Before Tax Cash-On-Cash Return2.274%    
After Tax Cash-On-Cash Return1.819%    
Debt to Equity Ratio (DER)0.00:1    
Debt to Value Ratio (DVR)0.00:1    
Loan to Value (LTV)0.00%    

 
    
Net Present Value   
TIMENPV at Year End    Cumulative NPV
Year 0$ -121,000.00    $ -121,000.00
Year 1$ 3,191.82    $ -117,808.18
Year 2$ 2,901.65    $ -114,906.53
Year 3$ 2,637.87    $ -112,268.66
Year 4$ 2,398.06    $ -109,870.60
Year 5$ 2,180.05    $ -107,690.55
Year 6$ 1,981.87    $ -105,708.68
Year 7$ 1,801.70    $ -103,906.98
Year 8$ 1,637.91    $ -102,269.07
Year 9$ 1,489.01    $ -100,780.07
Year 10$ 1,353.64    $ -99,426.42

 
    
Tax Implications   
Your Tax Rate20.000%    
Taxes$ 550.20    
After Tax Cash Flow (ATCF)$ 2,200.80    

Comparing Investment Options

Investing in real estate carries risks. You should be rewarded for taking that risk. Below is a comparision of the investment property with several "safe" investments which require no work or effort on your part and may even carry FDIC insurance. The real estate investment should beat these investments, otherwise it would be a better idea to just put your money in one of these savings accounts.

0.0505 HSBC Direct Online Savings   5.05%
0.0500 Capital One Money Market   5.00%
0.0450 ING Direct Orange Savings Account   4.50%
0.0227 ***** THIS INVESTMENT PROPERTY *****   2.27%
0.0020 Bank of America Regular Savings Account   0.20%

Note: This was calculated using before tax cash-on-cash return.

Disclaimer: All rates subject to change. Buyer Beware... Please Check with the actual bank to determine actual rate. We disclaim all liability for misquoted rates.