MilanO Property Group analyzes assets in all real estate classes looking for add value projects for all our investors and partners.
A growing real estate organization we provide peace of mind while accumulating wealth to further enhance our investors lifestyle needs.
Once assets are acquired, MilanO Property Group provides a very proactive approach to management, leasing and construction to meet the investment needs. All investments have a comprehensive strategy in place with detailed reviews done monthly to adapt to market changes as needed.
Asset Management provides a proven track record offering competitive returns along with continuous transfer of information regarding progress of all properties.
Click below to see a snapshot pro forma financial analysis of a past investment.
Investment Summary
|
Net Operating Income (000’s)
Year1 | Year 2 | Year 3 | Year 4 | Year 5 | |
Gross Revenue: | $123 | $125 | $128 | $130 | $135 |
Vacancy (5%): | (6) | (6) | (6) | (7) | (7) |
Total Operating Revenue: | $117 | $119 | $122 | $123 | $126 |
Repairs & Maintenance: | (6) | (6) | (6) | (6) | (6) |
Management Fee: | (9) | (9) | (10) | (10) | (10) |
Utilities: | (3) | (3) | (3) | (3) | (3) |
Insurance: | (6) | (6) | (6) | (6) | (6) |
Property Tax: | (6) | (6) | (6) | (6) | (6) |
Other: | (9) | (9) | (10) | (10) | (10) |
Total Operating Expenses: | $(39) | $(39) | $(41) | $(41) | $(41) |
Percentage of Revenue: | 33% | 33% | 33% | 33% | 33% |
NET OPERATING INCOME: | $78 | $80 | $81 | $82 | $85 |
Sale Summary (Year 5)
Year 5 Net Operating Income: | $85,499 |
CAP Rate: | 6.5% |
Sale Price: | $1,299,988 |
Fees | |
Commission: | (77,999) |
Legal Fees: | (12,999) |
Disposition Fees: | (12,999) |
Total Fees: | $(103,997) |
Net Sale Price: | $1,195,991 |
Total Investor Payout | |
Net Sale Price | $1,195,991 |
Loan Payoff: | (606,498) |
Funds to disburse: | 589,492 |
Equity Invested: | (280,000) |
Net Sale Cash: | 309,490 |
Year 1 Operating Cashflow: | 10,651 |
Year 2 Operating Cashflow: | 12,354 |
Year 3 Operating Cashflow: | 14,094 |
Year 4 Operating Cashflow: | 15,974 |
Year 5 Operating Cashflow: | 17,891 |
TOTAL CASHFLOW: | 380,454 |
RETURN ON INVESTMENT: | 135.88% |
AVERAGE ANNUAL RETURN ON INVESTMENT: | 27.18% |