Monte Carlo Simulation - Multifamily Tool

$0.00

See the future of your multifamily deal—before you ever make an offer.

Our Monte Carlo Simulation – Multifamily Tool brings institutional-grade risk analysis to your underwriting process. Instead of relying on single-point assumptions, this tool runs thousands of probability-based simulations to show you the full distribution of outcomes for IRR, equity multiple, cash-on-cash, rent growth, expenses, exit cap rates, and more.

Perfect for analysts, sponsors, and acquisitions teams who want to quantify risk, strengthen their investment thesis, and make offers backed by data—not guesswork.

Key Benefits

  • Quantify Risk With Precision
    Run 1,000+ simulations to see how changing market conditions impact returns.

  • Understand Return Distributions
    View probabilistic IRR and EM plots, percentile outcomes, and downside scenarios.

  • Flexible, Real-World Assumptions
    Input ranges for rent growth, expenses, cap rates, vacancy, exit pricing, leverage terms, and more.

  • Stress-Test Your Deal
    Identify which assumptions drive the most volatility and expose the true risk profile.

  • Institutional-Quality Output
    Generate investor-ready visuals and probability curves directly from Excel.

  • Seamless Integration
    Designed to plug into your existing underwriting workflows and pair with your Multifamily Acquisition Model.

Perfect For

Acquisitions teams, capital markets professionals, analysts, and anyone underwriting multifamily deals who wants deeper insight into return variability and risk.

See the future of your multifamily deal—before you ever make an offer.

Our Monte Carlo Simulation – Multifamily Tool brings institutional-grade risk analysis to your underwriting process. Instead of relying on single-point assumptions, this tool runs thousands of probability-based simulations to show you the full distribution of outcomes for IRR, equity multiple, cash-on-cash, rent growth, expenses, exit cap rates, and more.

Perfect for analysts, sponsors, and acquisitions teams who want to quantify risk, strengthen their investment thesis, and make offers backed by data—not guesswork.

Key Benefits

  • Quantify Risk With Precision
    Run 1,000+ simulations to see how changing market conditions impact returns.

  • Understand Return Distributions
    View probabilistic IRR and EM plots, percentile outcomes, and downside scenarios.

  • Flexible, Real-World Assumptions
    Input ranges for rent growth, expenses, cap rates, vacancy, exit pricing, leverage terms, and more.

  • Stress-Test Your Deal
    Identify which assumptions drive the most volatility and expose the true risk profile.

  • Institutional-Quality Output
    Generate investor-ready visuals and probability curves directly from Excel.

  • Seamless Integration
    Designed to plug into your existing underwriting workflows and pair with your Multifamily Acquisition Model.

Perfect For

Acquisitions teams, capital markets professionals, analysts, and anyone underwriting multifamily deals who wants deeper insight into return variability and risk.