Put together a financial analysis (i.e. what you did for the residential assignment) for each property. Assume you would sell the property after ten years and have a required return of 15%. Then give a paragraph explanation of which one you would invest in. Don’t just focus on the IRR in your explanation (or dollar amount, since the deals are different sizes). Assume you are back in fall of 2019 (so you didn’t know about COVID). DO NOT HARDCODE
*The document attached that says “Analysis of a Residential Property.pdf” is just a SAMPLE of the financial analysis. This assignment should be done with the other two documents attached*