
This episode explores potential wealth-building opportunities amid market shifts and discusses various investment strategies for uncertain times.
In today's market, access to capital has become more restricted, with banks lending less than in previous years. The real estate market may feel stagnant, and stock prices appear high relative to historical norms. However, periods of market uncertainty can often create opportunities for those who are well-positioned to act strategically. In this episode, we examine six investment strategies that some investors are exploring in the current environment along with two strategies that we, as long-term investors, are considering. Here’s what we cover: The rise of service businesses (HVAC, plumbing, electrical) as resilient industries in uncertain times The role of private credit in offering potential returns for qualified investors A shift toward fundamental investing strategies in public markets Real estate opportunities in times of market correction The potential for alternative real estate models like boutique hotels Understanding government incentives in housing markets We also break down: Active vs passive investing PE rollups and what it could mean for consumers Evaluating risk tolerance vs risk capacity If you’ve felt “reluctantly optimistic” about this market… this episode is…
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