Deal Master is a powerful, yet user-friendly analysis tool which allows you to quickly evaluate the profit potential of most investment real estate properties.
Deal Master automatically evaluates multiple exit strategies and show you which
one will produce the best Return-On-Investment after recoveing all costs and taxes.
This gives the investor a bette overall view of the profit potential of the deal
being evaluated.
Investors can print reports containing details of the deal showing the calculated
profit potentials to be shared with other investors or lenders.
The current release (v.1.0.x.x) evaluates the following exit strategies:
- Buy-Fix-Sell ( less than 1 year hold )
- Buy-Fix-Hold ( resell at 1 year )
- 1 Year Refinance ( cash-out refinance at 1 year
)
Deal Master
also allows you to evaluate Pre-Construction investment opportunities
by evaluating 3 different user defined scenarios at once to produce
a Best Case, Worst Case, and Most Probable Case analysis.
This saves the investor time and provides a better view of the overall
risk level of the deal.
Click
here to view a screenshot example of a typical analysis workflow.
Order a copy of the Full Version by clicking the button below.
Current Release: v.1.0.3
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