Investor Market Analysis – 2026-03-02

This spread is calculated as the difference between the 30-year fixed mortgage rate and the 10-year Treasury yield, which is now at 3.4% .
Investor Market Analysis – 2026-03-01

The 10-year Treasury yield itself has remained relatively stable at 2.95% , reflecting investor confidence in government securities amidst geopolitical…
Investor Market Analysis – 2026-02-28

The mortgage-treasury spread, which compares mortgage rates to the yield on 10-year Treasury bonds, provides insights into lender risk perception.
Investor Market Analysis – 2026-02-27

Key Considerations for Investors Fix-and-flip strategies: Target properties with a minimum potential spread of 25% to account for unexpected costs and…
Investor Market Analysis – 2026-02-27

Key Considerations for Investors Fix-and-flip strategies: Ensure a minimum spread of 25% between purchase and sale price to cover holding costs and…
Investor Market Analysis – 2026-02-16

Key Considerations for Investors Fix-and-flip strategies: Target properties with a minimum spread of 20% between purchase price and after-repair value…
Investor Market Analysis – 2026-02-10

The mortgage-treasury spread, which measures the difference between mortgage rates and 10-year Treasury yields, is currently at 1.75% .
Investor Market Analysis – 2026-02-09

Key Considerations for Investors Fix-and-flip strategies : Aim for a minimum gross profit margin of 20% to cover holding costs and mitigate spread risk.
Investor Market Analysis – 02-08-26

Key Considerations for Investors Fix-and-flip strategies : Aim for projects with a spread of at least 20% between purchase, renovation costs, and expected…
Investor Market Analysis – 02-07-26

Key metrics we monitor: mortgage-treasury spreads (risk pricing), months’ supply (inventory pressure), and shelter inflation (rent growth proxy).