Advantage Software LLC               Real Estate Investment Software
    "Innovative Real Estate Software Solutions"                    Allocation of Cash Flow Graphic 
   
 
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  Allocation of Cash Flow  
  Capitalization Rate  
  Cash Flow  
  Cash on Cash Return  
  Debt Coverage Ratio  
  Equity  
  Equity Dividend Rate  
  Future Wealth  
  Gross Rent Multiplier  
  Internal Rate of Return  
  Loan to Value Ratio  
  MIRR Future Wealth  
  Operating Expenses  
  Sales Price /Loan Balance  
  Sales Proceeds  
      
 
     Allocation of Cash Flow Graphic
 
                                                              (See Graph Below)
      
  The Cumulative After-Tax Cash Flow graph shows projected Reserve Funds, After-Tax Reinvestment Cash and the total After-Tax Cash Flows projected forward from year 1 to year 10 based on the investor's assumptions.  The Cumulative After-Tax Cash Flow graphic is derived from data on the Allocation of Cash Flow report.  The On Target software allows you to put a percentage of your after-tax cash flows in a Reserve Fund if you wish.  All cash flows that are not put in a Reserve Fund are then put into After-Tax Reinvestment Cash fields.   

Note:  The Cumulative After-Tax Cash Flow graphic can be displayed and printed in 2D Line, 2D Column, 2D Cylinder, 2D Area, 3D Column, 3D Cylinder and 3D Area format.

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