Agent·Capital Markets
Capital Markets Analyst
The Capital Markets Analyst takes your actual financials and runs a real disposition analysis: current NAV, cap rate sensitivity, IRR scenarios for hold periods, and a hold-vs-sell recommendation grounded in your own numbers, not market averages.
What it does
- NAV estimation with cap rate sensitivity
- Hold-vs-sell scenario modeling
- IRR projection across multiple exit windows
- Submarket comp pull via market data
When you'd use it
Annual portfolio review
Get a one-pager per property with current value, ideal exit window, and hold IRR.
Refi vs. sell decision
Model both side-by-side on real cash flows before talking to a broker.
Reads
- • MORs
- • Rent rolls
- • Submarket comps
Produces
- • Valuation
- • Disposition memo
- • Scenario table
Related
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