The Analysis Summary page shows the cash flow and investment returns you can expect immediately at the time of purchase, during the first year of ownership.

The Analysis Projections page shows projected numbers for a given year in the future. As time goes by, the operating income, operating expenses and the property's market value will increase as per the numbers you enter on the Worksheet > Assumptions page.

This will change the property's net operating income (NOI), cash flow and investment returns, including the cap rate, COC, ROI, etc. accordingly.

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