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JF 3990: Risk-Adjusted Returns, PPM Red Flags, and Fund-to-Fund Insights ft. Mauricio Rauld

The Best Ever CRE Show

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Understanding Debt and Risk in Real Estate Investing

This chapter explores the critical role of debt in real estate investments, particularly for limited partners. It emphasizes the importance of understanding loan products, assessing risks, and conducting thorough due diligence to gauge risk-adjusted returns. Through insights and anecdotes, listeners are encouraged to take an active approach in evaluating investments and navigating the complexities of the real estate market.

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