The Advanced Analytics dashboard gives Builder Pro subscribers a visual picture of how their banking system has performed over time. Each chart answers a different question about your capital, income, and overall system position.
How to Access Advanced Analytics
- Navigate to Capital — open the Capital Command Center from the sidebar
- Click Analytics — select the "Analytics" tab in the capital section
- Explore each chart — scroll through the six views described below
Cash Value Growth
This stacked area chart shows how your total cash value has grown over time, with each policy represented as a separate colored layer.
How to read it:
- The top line is your total cash value across all policies
- Each colored band shows one policy's contribution to the total
- Use the time range selector (1M, 3M, 6M, 1Y, 3Y, ALL) to zoom in or out
- Steeper slopes indicate faster growth periods — often driven by paid-up additions or dividend credits
What to look for: Consistent upward trend in total cash value. Gaps or flat spots may indicate periods without premium payments or snapshot updates.
Deployment Income Timeline
A bar chart showing monthly cash flows received from your deployments, with a cumulative total line overlaid.
How to read it:
- Each bar represents one month's total deployment income
- The line tracks cumulative income over time
- Filter by asset type to isolate income from real estate, promissory notes, equipment, or other categories
- Use the time range selector (6M, 1Y, 3Y, ALL) to adjust the view
What to look for: Income consistency and growth trends. The cumulative line shows your total cash received trajectory.
Capital Flow Diagram
A Sankey-style flow visualization showing where your capital originates and where it flows.
How to read it:
- Left side (sources): Policy loans, external loans, cash, and deployment proceeds
- Right side (destinations): Your various deployments and asset types
- Width of flows: Proportional to the dollar amount moving through each path
- Summary bar: Shows total cash value, total loans, total deployed, and total income
What to look for: The balance between policy loan-funded and cash-funded deployments. A healthy banking system typically shows capital flowing through policy loans and cycling back as deployment income.
Net CV
A stacked bar chart tracking your total cash value, deployment valuations, loan balances, and Net CV over time.
How to read it:
- Cash Value bars: Your policies' combined cash value
- Valuations bars: Current market value of your deployments
- Loan bars: Outstanding policy loan balances
- Net CV line: The difference — total assets minus total loans
- Use the time range selector (6M, 1Y, 3Y, ALL)
What to look for: Net CV trending upward over time. The gap between total assets (CV + valuations) and loans is your system's equity.
Year-over-Year Comparison
A side-by-side comparison showing this year's monthly metrics against the prior year.
How to read it:
- Each month shows current year vs. prior year for both cash value growth and deployment income
- This helps you identify whether your banking system is accelerating, maintaining pace, or contracting relative to the previous period
What to look for: Current year exceeding prior year in both metrics indicates a growing banking system.
Deployment Comparison
A table comparing your active assets side by side.
How to read it:
- Spread: The difference between deployment return and policy loan cost
- Cash-on-Cash: Income received relative to capital deployed, annualized
- Days Deployed: How long capital has been at work
- Sparklines: Recent cash flow trends for each deployment
What to look for: Compare spread and cash flow consistency across asset types to understand which deployments are contributing most to your system's velocity.
Data Sources
All analytics charts are built from your recorded data:
- Cash Value Growth draws from policy snapshots you've entered
- Income Timeline draws from deployment cash flows you've recorded
- Capital Flow aggregates your loan, deployment, and cash flow records
- Portfolio combines snapshots and deployment valuations
Charts labeled "Actual" reflect data you've entered. If you see gaps, adding more frequent snapshots and cash flow entries will improve the picture.