What are your typical Back of Envelope assumptions?

Wondering how you guys determine your assumptions for deals and what calculations you need to meet to even consider a deal? Inputs: - Vacancy - OPEX - CAPEX - LC's - TI's - Fee's - Interest PMT's - etc.

Additionally, what outputs do you shoot for in: Outputs: - ROA - ROE - NPV - Cash-on-Cash - DSCR - etc.

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