Real Estate Investing
by @ivangdavila
Analyze real estate investments with conservative underwriting, financing stress tests, diligence gates, and exit planning.
clawhub install real-estate-investingπ About This Skill
name: Real Estate Investing slug: real-estate-investing version: 1.0.0 homepage: https://clawic.com/skills/real-estate-investing description: Analyze real estate investments with conservative underwriting, financing stress tests, diligence gates, and exit planning. changelog: "Initial release with underwriting, market screening, diligence, financing, and portfolio operations playbooks." metadata: {"clawdbot":{"emoji":"ποΈ","requires":{"bins":[]},"os":["linux","darwin","win32"],"configPaths":["~/real-estate-investing/"]}}
When to Use
Use this skill when a user is evaluating real estate investing decisions such as buy-and-hold rentals, value-add deals, BRRRR projects, flips, or house hacks.
Agent handles strategy selection, return targets, deal triage, underwriting, financing pressure tests, diligence sequencing, portfolio fit, and exit discipline.
Architecture
Memory lives in ~/real-estate-investing/. If ~/real-estate-investing/ does not exist, run setup.md. See memory-template.md for the baseline structures.
~/real-estate-investing/
βββ memory.md # Strategy, guardrails, and active priorities
βββ pipeline.md # Deals under review with current stage and blockers
βββ markets.md # Market notes, rent assumptions, and local risks
βββ decisions.md # Won/lost deals, post-mortems, and pattern updates
βββ archive/ # Inactive ideas and old deal records
Quick Reference
| Topic | File | Use it for |
|-------|------|------------|
| First-run activation | setup.md | Integration behavior, boundaries, and storage scope |
| Memory baseline | memory-template.md | Create local files for strategy, pipeline, and decisions |
| Strategy and buy box | thesis-and-box.md | Define goals, market focus, and non-negotiable filters |
| Strategy fit and return targets | strategy-selection.md | Match investing styles to capital, time, and risk |
| 30-second screening | deal-triage.md | Reject weak deals before deep work |
| Underwriting model | underwriting.md | Revenue, expenses, reserves, and scenario stress tests |
| Debt and downside | financing-and-risk.md | Loan structure, DSCR, reserves, and refinance risk |
| Diligence workflow | diligence-and-red-flags.md | Documents to request and kill-shot risks |
| Operations and exits | portfolio-ops.md | Management, capex planning, and sell-or-hold triggers |
Requirements
Investor Lane
This skill is for investment decisions, not broad real-estate generalism.
real-estate-skill, home-buying, or rental as appropriate.Deal Loop
Use this order unless the user explicitly wants a narrower question answered:
1. Lock thesis and buy box. 2. Match the strategy to capital, time, and operational reality. 3. Run 30-second triage. 4. Underwrite with conservative assumptions. 5. Stress debt, timeline, vacancy, and capex. 6. Sequence diligence around the biggest ways the deal can die. 7. Check operational fit and exit routes before recommending action.
Core Rules
1. Start With the Thesis, Not the Listing
2. Choose the Right Strategy Before Chasing Yield
3. Kill Weak Deals Early
deal-triage.md before any full underwriting pass.4. Underwrite to Reality, Not Broker Story
5. Read the Full Return Stack
6. Stress the Debt Before Trusting the Return
7. Match Strategy to Operations
8. Treat Diligence as Risk Pricing
9. Decide With a Written Kill-Switch
Real-Estate-Investing Traps
| Trap | Why It Fails | Better Move | |------|--------------|-------------| | Using pro forma rents as fact | Return targets look safe when they are not | Anchor to proven in-place rent and verified market comps | | Underestimating capex | Cash flow looks healthy until the first major repair | Separate maintenance, turnover, and true capital expense reserves | | Calling any positive cash flow "rentable" | Thin margins hide vacancy, delinquency, and management drag | Test DSCR, break-even occupancy, and reserves before calling a rental healthy | | Treating cash-on-cash as the only metric | Leverage can fake a great return on a weak asset | Read DSCR, break-even occupancy, debt terms, and exit risk together | | Buying outside operational competence | Distance and vendor weakness destroy execution | Match asset type and market to actual operating capacity | | Assuming refinance is guaranteed | BRRRR math breaks when rates, value, or DSCR move | Model delayed or failed refinance before acquisition | | Ignoring taxes, insurance, and regulation drift | "Stable" deals can reprice overnight | Track reassessment risk, insurance availability, and local restrictions | | Falling in love with one deal | Emotion overrides guardrails and exceptions stack up | Compare every deal against the thesis and recent rejects |
Data Storage
Local state lives in ~/real-estate-investing/:
archive/ for inactive opportunities and old decision logsSecurity & Privacy
Data that stays local:
~/real-estate-investing/Data that leaves your machine:
This skill does NOT:
SKILL.mdScope
This skill ONLY:
This skill NEVER:
Related Skills
Install withclawhub install if user confirms:property-valuation - Estimate market value and compare comp-driven pricing against the investment thesis.home-buying - Separate owner-occupant decisions from pure investment decisions when a deal mixes both.rental - Evaluate tenant-landlord realities, leasing friction, and rent-side execution details.invest - Compare property returns against broader investing trade-offs and capital allocation choices.real-estate-skill - Broader transaction support across buying, selling, agents, and mixed property roles.Feedback
clawhub star real-estate-investingclawhub sync