Unlock the potential of mezzanine financing to elevate your portfolio’s returns while reducing risk. In this episode, experts share insights into achieving equity-like returns without the equity risk, analyzing lender behavior in today's market, and mastering capital stack dynamics to maximize yield opportunities. You’ll walk away with strategies to strike the perfect balance between reward and security. Join moderator Steve Woodard of Westport Capital Partners with guests Philip McAndrews of RXR and James Fogarty of Macquarie Asset Management for a deep dive into the mezzanine multiplier effect.
Key Takeaways:
Tune in to hear how the mezzanine multiplier effect can reshape your investment strategy and provide stability amid market fluctuations.