Risk Management Strategies – Episode 3

In this episode of Smart Real Estate with Westcliff, Addy Saeed and Kaz Jaffer reveal how Westcliff manages risk in real estate investing. From stress testing to diversification, learn how a layered framework can help you safeguard your portfolio in any market condition.

Addy Saeed and Kaz Jaffer from Smart Real Estate with Westcliff discuss the critical aspects of risk management in real estate investing. They emphasize the importance of understanding, planning for, and structuring around various risks such as market risk, asset-level risk, financial risk, and legal/operational risk. They share strategies like due diligence, stress testing, maintaining reserves, and diversifying investments to protect and optimize capital. Listeners are invited to book a strategy session and join the Westcliff investors network for early access to deals and further insights.

We hope you’ve learned something valuable in this episode. Subscribe to our podcast for more expert advice and visit westcliffam.com for more information.

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