From deal sanity checks to professional underwriting.
CapitalLens helps you decide whether a property is worth investing in. This portfolio mode highlights the full analysis workflow with market evidence, downside risk context, and investor-ready outputs.
This is not just “more numbers”. It demonstrates market context + risk depth that validates rent and growth assumptions, benchmarks deals against local areas, and produces outputs you can share.
- ✓ Comparable rents + yield benchmarks
- ✓ Trend charts + growth/volatility bands
- ✓ Advanced downside scenarios + risk probability
- ✓ IRR & equity build-up projections
- ✓ Investor-ready PDF (no watermark)
- ✓ Saved deals + comparisons
A simple capability overview
The demo shows both baseline underwriting and advanced intelligence modules in one coherent workflow.
- • Cashflow, NOI & yields
- • Clear decision verdict
- • Conservative/Base/Optimistic presets
- • Basic stress checks (rate +1%, rent -10%, voids +2%)
- • Local snapshot (quick context)
- • Watermarked summary
- • Save 1 deal locally
- • Live postcode intelligence (benchmarks & context)
- • Comparable rents + valuation checks
- • Trend charts (rents, prices, yields)
- • Growth vs volatility bands (risk context)
- • Advanced downside scenarios + risk probability
- • IRR & equity build-up projections
- • Due diligence signals (EPC, flood, planning)
- • Investor-ready Decision Pack (PDF + share links)
- • Save deals in the cloud + compare/rank
Five modules that change decisions
These modules answer the real investor question: “Is this deal defensible in the real market — and what could break it?”
- • Real-time local asking prices & rents
- • Price per sq ft benchmarks
- • Capital growth trends (up to 7 years)
- • Demand/void indicators (where available)
- • Postcode heatmaps (yield, growth, demand signals)
- • Compare multiple postcodes side-by-side
- • Compare cities / boroughs for deployment
- • Historic charts: price, rent, yield
- • Growth vs volatility bands (80% ranges)
- • Base / stress / downside scenario projections
- • Probability of negative cashflow under stress
- • IRR and equity build-up projections
- • Rate, rent, void and cost sensitivity
- • EPC / energy performance context
- • Flood risk and constraint flags
- • Planning constraints and nearby development signals
- • Optional deal sourcing signals (Phase 2+)
Everything included, side-by-side
If you’re investing serious money, this workflow is designed to reduce risk and increase confidence with evidence-backed underwriting.
Optional high-value add-ons
These aren’t required for MVP — but they’re strong long-term extensions once the core platform is live.