



In this episode of The Multifamily Investor Playbook, Mark Faris and John Makarewicz break down where investors should be allocating capital in today’s volatile market—and why multifamily real estate is standing out right now.
With ongoing stock market swings, geopolitical uncertainty, and inflation, they unpack the growing disconnect between equities and real estate—and what that means for new investment dollars. The conversation focuses on why timing matters, why volatility is making decision-making harder, and how investors can think more strategically in today’s environment.
In this episode, you’ll learn:
✔ Why market volatility is making capital allocation more difficult
✔ The current pricing gap between stocks and real estate
✔ What it means to invest during uncertainty
✔ Why multifamily offers more stability and income visibility
✔ How to think about diversification in today’s market
If you're looking to make smarter investment decisions in an unpredictable environment, this episode will give you a clear and grounded perspective.
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