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How do you prepare a multifamily property for sale and maximize your exit price?
In this episode of the Multifamily Investor Playbook, Mark Faris and John Makarewicz break down their proven 12-month exit strategy for selling apartment buildings at top dollar.
Learn how to increase net operating income (NOI), tighten operations, optimize your T12 financials, and position your asset to attract serious buyers without scrambling at the last minute.
They also discuss:
✔ Why today’s multifamily market may be the best buying window in years
✔ How increasing deal flow is creating new acquisition opportunities
✔ The 3 exit options every operator must evaluate: sell, refinance, or hold
✔ Common mistakes that kill value before a sale
✔ Market signals that indicate the right time to exit
If you're a real estate investor, syndicator, or operator looking to improve your multifamily exit strategy, boost property valuation, and deliver stronger returns to investors, this episode is packed with actionable insights.
📩 Want to invest with us? Visit www.fulloutinvesting.com to learn more and book a call.
Disclaimer: The views expressed in this podcast are solely those of the host and guests. They do not constitute financial, investment, or legal advice. All investments carry risk, including the possible loss of principal. Listeners should conduct their own research and consult qualified professionals before making any investment decisions. Past performance is not indicative of future results.
By Faris Capital PartnersHow do you prepare a multifamily property for sale and maximize your exit price?
In this episode of the Multifamily Investor Playbook, Mark Faris and John Makarewicz break down their proven 12-month exit strategy for selling apartment buildings at top dollar.
Learn how to increase net operating income (NOI), tighten operations, optimize your T12 financials, and position your asset to attract serious buyers without scrambling at the last minute.
They also discuss:
✔ Why today’s multifamily market may be the best buying window in years
✔ How increasing deal flow is creating new acquisition opportunities
✔ The 3 exit options every operator must evaluate: sell, refinance, or hold
✔ Common mistakes that kill value before a sale
✔ Market signals that indicate the right time to exit
If you're a real estate investor, syndicator, or operator looking to improve your multifamily exit strategy, boost property valuation, and deliver stronger returns to investors, this episode is packed with actionable insights.
📩 Want to invest with us? Visit www.fulloutinvesting.com to learn more and book a call.
Disclaimer: The views expressed in this podcast are solely those of the host and guests. They do not constitute financial, investment, or legal advice. All investments carry risk, including the possible loss of principal. Listeners should conduct their own research and consult qualified professionals before making any investment decisions. Past performance is not indicative of future results.