US-Iran War: What it Means for US Multifamily Markets

About This Episode

Global conflict can move markets fast—and investors need to understand the ripple effects.

In this episode, John Makarewicz breaks down the recent U.S. and Israel strikes on Iran and how the situation is impacting oil prices, interest rates, and market volatility. He explains what these shifts could mean for real estate investors and why periods of uncertainty may create opportunity for disciplined multifamily buyers.

What You’ll Learn:

✔ How geopolitical conflict can impact oil prices and the broader economy

✔ Why treasury volatility matters for real estate financing

✔ How uncertainty can affect cap rates and deal competition

✔ Why conservative underwriting is critical in volatile markets

✔ Why Class B multifamily remains a resilient asset during economic uncertainty

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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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