✏️Prompts

Exit Strategy & Hold Period Analysis Prompt

Prompt

Model exit scenarios and hold period economics.

[PASTE: Property details, exit scenarios, exit assumptions]

Steps: 1) Model Year 3 exit 2) Calculate proceeds 3) Calculate returns 4) Repeat for Year 5/10 5) Analyze refinance option 6) Model hold-to-maturity 7) Sensitivity analysis

Output: Exit scenario summary, proceeds calculation, return metrics, sensitivity analysis, recommendation.

Why it works

Exit planning ensures clear endpoint. Multiple scenarios reveal tax-efficient path and optimal hold period.

Watch out for

Long holds expose to market downturns. Conservative cap rates ensure downside protection.

Used by

Finance TeamsData AnalystsExecutives