

How to Recession-Proof Your Portfolio
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This week, Sammy Gordon is joined by APS Head of Strategy Luke Teeuwsen to dive deep into the strategies for recession-proofing your property portfolio. As the new financial year rolls in, Sam and Luke discuss the importance of cash flow management, maintaining adequate buffers, and actively managing each property to weather potential economic downturns. They unpack the transition from residential to commercial property investment in search of stronger yields, the significance of tenant quality and retention, and the necessity of regular portfolio reviews. With real-life examples, practical advice, and plenty of banter, this episode is a must-listen for anyone looking to build a resilient investment strategy and safeguard their assets, no matter what the market throws their way.
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Chapters:
(00:01:45) Welcome
(00:02:34) What does 'recession proof' mean?
(00:03:28) Buffers and risk appetite
(00:07:45) Tracking your portfolio and real-life examples
(00:10:05) The shift from residential to commercial cash flow
(00:14:27) Adapting strategies: sell, hold, or build?
(00:18:03) Actively managing your portfolio
(00:20:31) Treating your portfolio as a business
(00:24:06) Be proactive, not reactive
(00:25:53) Unforeseen events: expect the unexpected
(00:28:00) The importance of buffers
(00:31:46) Accountability and knowing your numbers
(00:34:00) Selling down vs. holding: opportunity cost
(00:38:21) Mindset during market downturns