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Feb 28 2025 91 mins   2

Learn the secrets to eliminating or, at least, mitigating the risks when investing in real estate in Boulder.



This class is Module 24 of 46 in a series called Real Estate Investing Secrets.



Topics covered in this module include:




  • How to think about risks in terms of severity and likelihood and which are the most devastating?

  • For each risk: what is it, how can we mitigate its impact or completely eliminate it, and what to do if we find ourselves dealing with each one?

  • Which risks are insurable and can be mitigated or completely eliminated?

  • What are the risks associated with how much you put down when buying properties?

  • What are the risks with rental property expenses increasing (like taxes, insurance or maintenance)?

  • What are the risks associated with variable rate mortgages?

  • What are the risks of loans being called due… and how can we avoid it?

  • What are the risks of having neighborhoods decline in desirability, values and rents and what to do about it?

  • What if rental demand declines?

  • How do we deal with functionally obsolete properties?

  • How do we deal with massive foreclosures?

  • How to do we deal with emotionally stigmatized properties?

  • How do we deal with tenants trashing a property we own?

  • How do we deal with the dual impact of mortgage interest rates rising?

  • How do we deal with a tenant not paying rent?

  • How do we address missing costly things on inspection?

  • How to deal with inadequate reserves or not having enough liquidity?

  • How do we deal with zoning and regulatory issues?

  • What can be done about over-leveraging?

  • How to address poor property management?

  • How do we deal with excessive tenant turnover?

  • What about the risks of fraud or scams?

  • Plus much more...



Check out the video and additional resources related to Secrets to Risk Mitigation and Elimination.



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