Disposition & Asset Hold Period Modeling
Strategic analysis evaluating optimal divestment timing by comparing ongoing operational cash flows against liquidation and capital redeployment.
Disposition and Asset Hold Period Modeling evaluates optimal divestment timing by comparing the projected return of continuing to operate an asset against liquidating and redeploying capital into higher-yielding opportunities.
Models evaluate debt maturities, tax consequences under 1031 exchanges, upcoming CapEx cycles, and market cap rate trends to guide ownership hold-versus-sell decisions.
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See all Asset Management terms →Asset Management
Strategic oversight focused on financial maximization, capital allocation, risk management, and long-term asset value growth for property owners.
Read definition →Asset Repositioning & Adaptive Reuse
The strategic redevelopment and physical conversion of obsolete real estate into alternative commercial, residential, or mixed-use assets.
Read definition →Capital Expenditure (CapEx)
Long-term investment funds used to improve, replace, or add major physical property assets that are capitalized rather than expensed immediately.
Read definition →Capital Expenditure Reserve Analysis
Financial modeling calculating annual cash reserves needed to fund anticipated roof, paving, and mechanical replacements over a 30-year lifecycle.
Read definition →Capitalization Rate (Cap Rate)
The unleveraged rate of return on a property investment calculated by dividing annual Net Operating Income by current market asset value.
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