Help on the case study model!
Hey guys,
I'm trying to build out a projected cashflow with limited information. For some reason, my IRR is coming out to a ridiculous IRR at 82.19%. However, due to the assumptions from the case study, the NOI is at an absurd amount. Not sure how to progress from here.
Another question I got is that it is a development model but the question never states how long it would take to build. Should I incorporate that as well?
Can anyone take a look at this model for me? Link is below:
I'm good.
Thanks in advance
PM me
I made a few comments on your model. Would love to know how you make out on this.
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