Simulate and Manage Risk with Monte Carlo Analysis
Probability of Outcome
Cumulative Frequency Distribution
Monte Carlo simulation analysis is a technique that allows an investor to understand what the most likely return on investment will be based on a range of inputs for many different key variables. It might sound complicated, but we've made it incredibly easy to use.
For example, you can pick a range of values for vacancy rates, revenue rates and expenses and see what the most likely return will be based on combinations of these different rates. Through this technique, investors are able to gain a much richer picture of what the likely outcome will be for a particular real estate investment. The ROI Forecaster® calculates 1,000 combinations of a given investment scenario over eight different variables simultaneously to provide you with a full understanding of the likelihood of achieving a given level of financial performance for the investment being considered.
For less than the price of typical residential property inspection report, you can put the power of the ROI Forecaster® to work for you. Don't settle for less - get your copy today.
Easy to Use Unlike competing software packages, the Input Dashboard™ feature of the ROI Forecaster® makes creating an investment very easy - with the input of a few numbers and a few clicks of your mouse, you can quickly create an investment scenario. The Input Dashboard™ also allows for a full range of input options, making the software easily tailored to your needs.
Developed specifically for the active individual investor, the ROI Forecaster® is flexible enough to allow you to construct a scenario as simple or as complex as needs dictate. Input a wide range of variables and receive a comprehensive return on investment analysis, including 30-year forecasts of expected cash flow, property equity, net income and more. Use scenario analysis to determine the exact price range in which your specific return criteria are met.