·E4232
Real Estate Debt Investing and Exploiting Inefficiencies in the Debt Markets, ft. Fred Moskowitz
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Episode Description
Richard interviews Fred Moskowitz, who breaks down how investing in real estate debt shifts you from making payments to receiving them. He explains his strategy of buying institutionally originated residential mortgage notes at a discount, then generating consistent cash flow through servicing and portfolio management. The conversation highlights why note investing is a scalable, steady alternative to equity, with returns driven by yield, collateral position, and disciplined risk management.
They also dig into how pricing inefficiencies, borrower behavior, and liquidity needs create opportunity in the secondary loan market. Fred shares how investors evaluate loans based on payment history, equity, and local market dynamics, emphasizing that strong processes and servicing are key to managing risk.
Fred Moskowitz
Current role: Real Estate Note Investor
Based in: United States
Say hi to them at: https://fredmoskowitz.com/
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Podcast production done by Outlier Audio
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