← 1315 E 114th St, Cleveland, OH 44106 · All properties
Financials - FINANCIALS - from non-shared Public 1 - 1315 E 114th St, Cleveland, OH 44106.md
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| Property | 1315 E 114th St, Cleveland, OH 44106 |
|---|---|
| Folder | README & Property Snapshot |
| Kind | Text |
| Updated | 2026-05-30 |
| Dropbox path | 00 - README & Property Snapshot/Financials - FINANCIALS - from non-shared Public 1 - 1315 E 114th St, Cleveland, OH 44106.md |
What This File Appears To Be
Financial Data **Lofty Property ID:** `01GJKGAA5G228DY298ZJ0XFY88` **Lofty Asset Unit:** `LFTY0300` **Last Updated:** 2026-04-06 01:20:55 UTC ## Purchase Information - **Sale Price:** $92,319.00 - **Closing Costs:** $12,535.00 - **Total Investment:** $110,454.00 ## Tax Assessment - **Annual Taxes:** $2,531.09 ## Insurance - **Annual Premium:** $716.66 ## Income - **Projected Rental Yield:** 7.63% - **Projected Annual Cash Flow:** $8,432.00 ## Property Management - **PM Fee Rate:** 10.0% of gro
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# Financial Data **Lofty Property ID:** `01GJKGAA5G228DY298ZJ0XFY88` **Lofty Asset Unit:** `LFTY0300` **Last Updated:** 2026-04-06 01:20:55 UTC ## Purchase Information - **Sale Price:** $92,319.00 - **Closing Costs:** $12,535.00 - **Total Investment:** $110,454.00 ## Tax Assessment - **Annual Taxes:** $2,531.09 ## Insurance - **Annual Premium:** $716.66 ## Income - **Projected Rental Yield:** 7.63% - **Projected Annual Cash Flow:** $8,432.00 ## Property Management - **PM Fee Rate:** 10.0% of gross rents - **DAO LLC Fee:** $750.00/year - **Gross Monthly Rent:** $1,300.00 ## Annual Expenses - **Property Taxes:** *(see Tax Assessment)* - **Homeowners Insurance:** *(see Insurance)* - **Property Management:** *(ECO Systems — per contract)* - **Utilities Water/Sewer:** $863.51 ## Cash Flow Metrics - **Cap Rate:** 5.82% - **IRR:** 2.7% - **Current Maintenance Reserve:** $-3,517.45 - **Cash Flow:** $0.00/month ## Market - **Market:** Cleveland --- *Auto-generated from Lofty.ai financial data.* *Sync with Baselane/Hemlane for actuals reconciliation.* <!-- AUTO:CF_PRIOR_MONTH_START --> ## Cash Flow Snapshot (2026-04) **Source:** Cash Flow Statement, month `2026-04` **Updated:** 2026-05-18 | Metric | Amount | |---|---:| | Revenue | $0.00 | | Operating Expenses | $0.00 | | NOI | $0.00 | | Loan/CapEx/Retained Earnings | $0.00 | | Net Operating Cashflow | $0.00 | | Rents | $0.00 | | Property Management Fee | $0.00 | | Insurance | $0.00 | | Taxes | $0.00 | | Utilities | $0.00 | | Repairs / Maintenance | $0.00 | | Operating Reserve Balance | $0.00 | | ECO Cash Balance | $0.00 | | Mortgage Principal Balance | $1,200,000.00 | | Estimated NAV | $0.00 | `source_workbook: Public/07 - P&L & Owner Statements/Cash Flow Statement - 1315 E 114th St.xlsx` <!-- AUTO:CF_PRIOR_MONTH_END -->