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Updated over 8 years ago,
Sharing a buy & hold cash flow spreadsheet
All,
My wife and I are just starting out and looking to create monthly cash flow through buy and hold investing. We have a roughly 7-10 year time frame at which point we hope to reach our goal (as we intend to keep our day jobs until then). I've heard many folks say, "Start with your goal and work backwards to figure out what type of investing you want to do." Well, us being Type A numbers people, we would really like to have a comprehensive spreadsheet that lays out the road map to our goal. Would anyone have a cash flow spreadsheet that integrates expense calculations (mortgages, reoccurring & cap ex expenses? I am working to create one, but would be more than happy to use an existing one if anyone is willing to share.
Best,
Aaron