News & Insights

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Multifamily is Bright Spot for Investors Amidst COVID-19 Recession 

As the recession grips the equity and debt markets, the extreme market dislocation caused by COVID-19 has initiated many investors to look for alternative investment opportunities that will sustain value and cash flow through a downturn and be well-positioned when the recovery begins. Alternative asset classes, and multifamily real estate in particular, can add increased stability to a portfolio in a highly volatile macro environment. 

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Stabilizing a Portfolio in a Volatile Environment: Investing in an Uncertain and Volatile Economic Environment

“In a rising market, everyone makes money”; however, it is in a volatile recessionary environment where uncertainty abounds that historically effective investment strategies are truly tested. In these volatile environments, an appetite for risk and rapid growth is often substituted with a desire for fundamentals driven stability and superior risk-adjusted returns. The extreme market dislocation caused by COVID-19 has incentivized investors to reevaluate their portfolios and reassess their market risk. As the recession grips the equity and debt markets, this whitepaper explores how alternative asset classes, particularly multifamily real estate, can add increased stability to a portfolio in a highly volatile macro environment.

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Real Estate Investment Amid Uncertainty – How investors are responding

The COVID-19 pandemic represents the latest black swan event, and the U.S. is spending money quickly to provide support where needed. From a private markets perspective, the current economic crisis is really unlike any other. The unique factors include the globalization of finance and trade is much more prominent, the speed of information and data exchanged is heightened, the heart of this crisis is medical, not just economic, and we are in a very polarized political landscape which only adds to the stress.

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