
#5: Maria Friström
The BetterLife Podcast: Wealth | Real Estate Investing | Life
The Risk Management Criteria for Investing in Europe
The rates in Europe were 0.7 and the bank margin was like 0.7. So I paid 0.7 for my loans. My loan to what's that called loan to value? Loan to value is is pretty low. That was one of my risk mitigation criteria. Those products are always in favor of the bank. Yeah. There are ways to get caps on the arms. But you have to pay for them. And they never. Okay. You know this already. Well, anyways.
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