The 4 Multifamily Strategies Explained — And Why Value-Add Wins episode artwork

EPISODE · Nov 8, 2025 · 18 MIN

The 4 Multifamily Strategies Explained — And Why Value-Add Wins

from Multifamily Investor Playbook

Not all apartment investments are created equal. In this episode, John Makarewicz breaks down the four main multifamily investment strategies — Core, Core Plus, Value-Add, and Opportunistic — explaining their distinct risk profiles, return expectations, investor fit, and execution complexity. You’ll learn: ✅ The key differences between Core, Core Plus, Value-Add, and Opportunistic investments✅ How cash flow, leverage, and risk vary across each strategy ✅ Which type of investor is each strategy best suited for ✅ Why Faris Capital Partners focuses exclusively on Value-Add — balancing strong returns with manageable risk ✅ How forced appreciation and operational excellence create durable long-term growth A must-listen for investors looking to match their risk tolerance and goals with the right multifamily strategy. 📩 Want to invest with us? Visit www.fulloutinvesting.com to learn more and book a call.

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The 4 Multifamily Strategies Explained — And Why Value-Add Wins

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How long is this episode of Multifamily Investor Playbook?

This episode is 18 minutes long.

When was this Multifamily Investor Playbook episode published?

This episode was published on November 8, 2025.

What is this episode about?

Not all apartment investments are created equal. In this episode, John Makarewicz breaks down the four main multifamily investment strategies — Core, Core Plus, Value-Add, and Opportunistic — explaining their distinct risk profiles, return...

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