Exit strategy
Compare sale, refinance and long hold strategies before you choose the exit.
The exit view helps you evaluate proceeds, taxes, refinancing logic and timing so the strategy fits the asset, not just the headline return.
Built for the Quebec real estate market
NOI • DSCR • IRR • LTV
Décisions structurées
Built for the investors, property managers and brokers analysing real assets in Quebec.
Actif
Analyse
Stress test
Projection
Decision
Product view
Sell, refinance or hold longer.
You can model net proceeds, horizon assumptions and strategic tradeoffs with the same numbers already used in the analysis.
Net proceeds
Estimate what really remains after sale costs, debt repayment and taxes instead of relying on gross appreciation alone.
Refinance scenarios
Compare capital recovery and financing assumptions when the right move is to keep the asset but reset the capital stack.
Strategy fit
Align the exit with your objective: de-risk, recycle capital, maximize hold value or prepare a portfolio rotation.
Use this view to challenge the deal, not just describe it
The best analyses show whether the project still holds when the assumptions turn against you.
Rate increase
Vacance locative
Drop in exit value
What this analysis changes in your decision
- Know whether selling now beats holding longer after all costs are included.
- Estimate whether a refinance actually frees enough capital to justify the operation.
- Build a cleaner strategy memo for investors, lenders or internal decision meetings.
Continuer l’analyse
Start with a full analysis, not a single ratio.
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Information provided for guidance only — not certified financial, tax or legal advice.