Investor Market Analysis – 2026-04-06

Key Considerations for Investors Fix-and-flip strategies: Aim for a minimum profit margin of 20% to 25% to cover potential holding costs and market…
Investor Market Analysis – 2026-04-05

Key Considerations for Investors Fix-and-flip strategies: Aim for a 20% profit margin on projects to accommodate unexpected expenses.
Investor Market Analysis – 2026-04-02

Treasury yield is approximately 2.4%…
Investor Market Analysis – 2026-03-30

As of March 2026, the spread between the 30-year mortgage rates and the 10-year treasury yield is approximately 2.2%…
Investor Market Analysis – 2026-03-29

As of this month, the spread between the 30-year fixed mortgage rate and the 10-year Treasury yield is approximately 2.0% .
Investor Market Analysis – 2026-03-28

The spread measures the difference between mortgage rates and the 10-year Treasury yield, which is currently 4.05%…
Investor Market Analysis – 2026-03-27

The spread between the 30-year mortgage rate and the 10-year Treasury yield currently stands at 2.15% , slightly above the historical average of 1.75% .
Investor Market Analysis – 2026-03-26

Key Considerations for Investors Fix-and-flip strategies: Aim for a minimum gross profit margin of 20% to cover holding costs and unforeseen expenses.
Investor Market Analysis – 2026-03-25

A significant metric to consider is the mortgage-treasury spread , which currently sits at 1.6%…
Investor Market Analysis – 2026-03-24

This spread, which is the difference between mortgage rates and the 10-year Treasury yield (now at 4% ), indicates heightened risk perception among lenders.