Do you have any unique analysis or tricks you do for deals?
I have a good grip on basic real estate finance and want to see if there’s any unique analyst that people do for deals that I could learn from.
An example is partitioning the IRR to see how much of IRR is from cash flow vs residual. That’s pretty basic but that’s kinda where I’m headed. I’m just curious if there’s any cool analysis that you do that is less known that I could implement. Feel free to share anything that you do that might not be common practice. Or it could be mental math hacks, literally any RE finance related topics.
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