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16520 Ilene Detroit, MI

Partnership Splits

Payment Split : 20% / 80%

Partnership Equity Split : 30% / 70%

Purchase Price + Rehab

# Expense Amount Expense Type Date added
1 $16,370.00 Property Purchase Price (including Closing Costs) 06/02/2017
2 $7,222.00 General Rehab Repairs 06/02/2017
3 $500.00 General Rehab Repairs 09/23/2017
4 $1,495.00 General Rehab Repairs 09/23/2017
5 $500.00 General Rehab Repairs 11/08/2017
6 $850.00 General Rehab Repairs 11/08/2017
7 $250.00 Plumbing Repairs 11/08/2017
8 $1,010.00 General Rehab Repairs 02/23/2018
9 $2,000.00 General Rehab Repairs 08/18/2018
10 $2,900.00 General Rehab Repairs 09/21/2018
11 $750.00 General Rehab Repairs 06/08/2019
12 $345.00 Plumbing Repairs 04/14/2020
13 $600.00 General Rehab Repairs 07/12/2021
Purchase price : $16370 Total Rehab Cost :$18,422.00 All-In Property Cost : $34,792.00

Property Progress Images

All Property Expenses

# Expense Amount Expense Type Expense Note Expense Document Date added
1 $16,370.00 Property Purchase Price (including Closing Costs) Total Purchase Price ($12,200) with closing costs and rehab 06/02/2017
2 $2.94 Arcana Insurance Payment Arcana 09/23/2017
3 $29.27 Arcana Insurance Payment Arcana 09/23/2017
4 $30.24 Arcana Insurance Payment Arcana 09/23/2017
5 $29.27 Arcana Insurance Payment Arcana 09/23/2017
6 $30.24 Arcana Insurance Payment Arcana 09/23/2017
7 $30.24 Arcana Insurance Payment Arcana Insurance Feb 09/23/2017
8 $27.30 Arcana Insurance Payment Arcana March 2017 09/23/2017
9 $150.00 Water Bill Water turn on 09/23/2017
10 $30.24 Arcana Insurance Payment Arcana April 09/23/2017
11 $29.27 Arcana Insurance Payment Arcana May 09/23/2017
12 $7,222.00 General Rehab Repairs 06/02/2017
13 $104.84 County Taxes 2016 09/23/2017
14 $500.00 General Rehab Repairs Rahim rental final repairs. $1,000 is bid. $500 paid 8/1 09/23/2017
15 $150.00 Water Bill Water Deposit - Landlord Account 09/23/2017
16 $89.01 Arcana Insurance Payment June, July, August 09/23/2017
17 $356.04 Arcana Insurance Payment Arcana Renewal 2017 09/23/2017
18 $623.40 County Taxes 2017 09/23/2017
19 $1,495.00 General Rehab Repairs Renter repairs - Alphonso Harris contractor - Total job $1,495 *$895 paid 9/5 09/23/2017
20 $22.01 Electricity Bill DTE 09/23/2017
21 $200.00 Lawncare Initial lawncare and cleaning 09/23/2017
22 $125.00 Sales Clean 09/23/2017
23 $118.68 Arcana Insurance Payment June, July, Aug Arcana 09/23/2017
24 $356.04 Arcana Insurance Payment 8/29/17 to 8/29/18 09/23/2017
25 $500.00 General Rehab Repairs Furnace and Water heater 11/08/2017
26 $31.98 Electricity Bill DTE 11/08/2017
27 $850.00 General Rehab Repairs Furnace and water heater additional cost - total cost is $1,400 * $350 remaining paid 10/22 11/08/2017
28 $16.20 Electricity Bill DTE 11/08/2017
29 $250.00 Plumbing Repairs 11/08/2017
30 $625.00 Miscellaneous Profit Renter Deposit 10/24/2017
31 $246.07 Water Bill 11/08/2017
32 $390.00 Trash Out Debris removal 11/20/2017
33 $46.43 County Taxes 2017 Winter Taxes 02/02/2018
34 $1,010.00 General Rehab Repairs $2,020 approved Move-in rehab by Anthony Sharp. $1010 paid on 2/22 02/23/2018
35 $70.00 Water Bill Turn on fee - went to water dept 03/05/2018
36 $846.00 Rent $900 - $54 = $846 (payment of partial amount owed for Jan, Feb, March - reviewing payment plans and eviction) 03/23/2018
37 $20.00 Eviction Expenses 30 day notice 04/15/2018
38 $325.00 Eviction Expenses Court appearance, prep writ 05/12/2018
39 $50.15 City Taxes Detroit city taxes 2017 06/23/2018
40 $75.00 Eviction Expenses prep writ/order eviction 06/29/2018
41 $281.28 Waste Bill Detroit Water & Sewerage Dept 07/20/2018
42 $281.28 Water Bill Detroit Water & Sewerage Dept 08/13/2018
43 $625.08 City Taxes City of Detroit 08/14/2018
44 $2,000.00 General Rehab Repairs $4900 total approved Rehab from move-out and Sec. 8 repairs. Paid Sharp $2000 on 8/17 08/18/2018
45 $12.79 Water Bill Detroit Water & Sewerage Dept 09/12/2018
46 $2,900.00 General Rehab Repairs Final Rehab repairs - property completed 09/21/2018
47 $356.04 Arcana Insurance Payment 2018 Arcana Insurance Annual renewal 10/18/2018
48 $150.00 Utility Turn On electric, gas & water turn on 12/11/2018
49 $47.41 City Taxes Detroit Winter Taxes 2019 01/17/2019
50 $11.18 Electricity Bill DTE 02/12/2019
51 $350.00 Curb Appeal Repairs 04/08/2019
52 $150.00 Miscellaneous Renter underwriter fee - Cheryl 05/03/2019
53 $250.00 Curb Appeal Repairs Lawncare & curb appeal for city registration 05/30/2019
54 $200.00 Registration Fee Vacant registration inspection fee 05/31/2019
55 $350.00 Registration Fee Rental registration fee 05/31/2019
56 $750.00 General Rehab Repairs tub, cabinets, and surround 06/08/2019
57 $1,125.00 Rent Security Deposit 07/29/2019
58 $705.00 Rent $750 - $45 mgmt fee = $705 (June) 07/30/2019
59 $322.33 City Taxes Autoagent 2019 taxes paid by ACH 1st 1/2 payment 08/14/2019
60 $705.00 Rent $750 - $45 mgmt fee = $705 01/06/2020
61 $370.85 City Taxes 2nd 1/2 summer 2019 + winter 2020 taxes 01/16/2020
62 $705.00 Rent $750 - $45 mgmt fee = $705 01/28/2020
63 $285.58 Miscellaneous Rami & Martin expenses 02/13/2020
64 $705.00 Rent Positive Feb 2020 rent 03/09/2020
65 $705.00 Rent $750 - $745 mgmt fee = $705 03/30/2020
66 $345.00 Plumbing Repairs Roto-rooter basement flooded 04/14/2020
67 $1,316.00 Rent $1400 - $84 mgmt fee = $1316 05/01/2020
68 $417.00 Arcana Insurance Payment Arcana insurance from 5/1/20 to 5/1/21 05/04/2020
69 $326.16 City Taxes 1st 1/2 summer city taxes 2020 AA 08/16/2020
70 $481.10 County Taxes Winter and partial Summer taxes 02/04/2021
71 $391.14 County Taxes 2021 Summer Tax 07/08/2021
72 $600.00 General Rehab Repairs Debris removal, rekey, property cleaning for sale 07/12/2021
73 $469.95 County Taxes Taxes Second installment 12/13/2021
74 $150.00 Miscellaneous Notary, mailing, printing 07/22/2022
75 $29,218.02 Miscellaneous Profit Closing check - spent $37,439 08/01/2022
Overall ROI : 81.68 %
ROI (2017) : 2.06% ROI (2018) : 10.31% ROI (2019) : 75.28% ROI (2020) : 237.08% ROI (2021) : 0.00% ROI (2022) : 19,478.68%
Overall Profit/Loss: -$8,221.01
Profit/Loss (2017) : -$29,780.28 Profit/Loss (2018) : -$7,357.05 Profit/Loss (2019) : -$600.92 Profit/Loss (2020) : -$2,391.41 Profit/Loss (2021) : -$1,942.19 Profit/Loss (2022) : -$29,068.02
Total Admin Owed : $0.00
Total Client Owed : $0.00
Total Owed : $0.00

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Turning Affordable Property Investments into Sustainable Passive Income Production

Maxim Holdings specializes in finding off-market, bank or hedge-fund owned investment opportunities for investors of any size at significant discounts. We take sub-par properties and turn them into passive income cash flow earning machines.