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Updated almost 4 years ago,
Advanced Exel Spreadsheets
Anyone aware of a spreadsheet/calculator that determines future cash flows based off acquiring X amount of properties per year that each have X operating parameters.
I'm trying to determine how my long term financial picture will change if I acquire 1-2 properties a year that cost X, with a mortgage of X, that rent for X, etc. etc. Any thoughts would be appreciated. Thanks!