PassivePockets: The Passive Real Estate Investing Show

Pulse Check 2025: Multifamily, Debt Funds & Liquidity

Jan 20, 2026
The hosts reflect on 2025's surprises, highlighting how gold and silver steadied them amid market uncertainty. Contrary to predictions, multifamily distress was less widespread than expected. They emphasize the importance of liquidity and spot exciting opportunities in multifamily, flex industrial, and neighborhood retail for 2026. Discussions also touch on selective office markets and the implications of interest rate changes. Additionally, the hosts share insights on investment strategies, operator risk, and survey results indicating a strong appetite for multifamily and debt.
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INSIGHT

Hard Assets Hedged 2025 Uncertainty

  • Paul Shannon says hard assets like precious metals and real estate hedged uncertainty in 2025.
  • He shifted allocations into silver, gold, and real estate for inflation protection and cashflow potential.
ANECDOTE

Debt Allocation Paid Off

  • Chris Lopez describes his 2025 allocation toward debt and strong cashflow results.
  • He emphasizes debt investing as a successful call he made last year.
INSIGHT

Multifamily Distress Was Operator-Specific

  • Jim Pfeifer expected more multifamily recovery and rate relief but saw operators delay cures.
  • He was surprised by capital calls and slower improvement in troubled deals.
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