3 Trends Multifamily Investors Must Watch NOW | Weekly Market Update

About This Episode

Still relying on headlines to guide your investment decisions? This week’s data tells a very different story.

Liquidity is improving, bid activity is climbing, and multifamily continues to outperform other CRE sectors — even as Fed uncertainty and a cooling white-collar job market dominate the news cycle. In this episode, Mark Faris and John Makarewicz break down the three trends that matter right now, what they mean for cash flow, debt, pricing, and timing, and the simple behavior playbook every investor should use to stay on the right side of compounding.

What You’ll Learn:

✔ The three trends driving multifamily this week — liquidity, policy, and labor — and why they matter for investors

✔ How higher Fannie/Freddie caps are boosting liquidity going into 2026

✔ Why policy uncertainty at the Fed shouldn’t drive your investment thesis

✔ Why workforce housing (B/B-minus) remains resilient as Class A softens

✔ What rising bid activity signals for pricing and acquisitions

✔ The simple behavior playbook that keeps investors on the right side of compounding

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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.

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