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#218: The 9 Most FAQs I Receive From Prospective LPs Regarding Passively Investing in Real Estate

The Multifamily Wealth Podcast

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Understanding Equity Multiple, Investment Returns, and Downside Risk for LP Investors

This chapter provides an explanation of equity multiple and how it is calculated in relation to investment returns. It also discusses the factors that can affect investment returns, the typical range of cash on cash returns and IRR for multifamily syndications, and the downside risk for LP investors. Additionally, it explains the process of distributing funds to investors through an investor management platform that offers check and ACH options.

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