In this episode of The Multifamily Investor Playbook, Mark Faris and John Makarewicz break down why our multifamily real estate investments follow a three-to-five-year hold period — and how that timeline is a competitive advantage.
They walk through the year-by-year strategy, from stabilizing and renovating properties in the early stages to harvesting cash flow, unlocking value, and timing the optimal exit. You’ll learn how this approach maximizes returns, mitigates risk, and avoids the short-term market noise that can derail results. Whether you’re a busy professional or an experienced investor, discover how patient, disciplined investing can deliver strong, predictable outcomes — and why multifamily real estate is one of the most resilient wealth-building strategies available today.
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Disclaimer: The views expressed in this podcast are solely those of the host and guests. They do not constitute financial, investment, or legal advice. All investments carry risk, including the possible loss of principal. Listeners should conduct their own research and consult qualified professionals before making any investment decisions. Past performance is not indicative of future results.