Quality vs Quantity: The Real Math of Property Wealth
Description
Have you ever wondered whether it's better to buy quality or quantity of investment properties?
Today, I break down the real drivers of long-term real estate wealth and show why strategy must be built around goals, borrowing capacity, cash flow, and lifestyle.
I will unpack how rental yield, capital growth, and risk tolerance determine whether high-end, mid-range, or mixed property selections deliver better outcomes.
I compare three investment scenarios to reveal how different property mixes impact passive income, equity growth, and long-term serviceability and outline why it's not a one-size-fits-all answer, giving the importance of a personalised strategic portfolio plan.
Let’s go inside.
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Episode Highlights:
- Intro [00:00 ]
- Long-Term Property Investment Strategies [01:14 ]
- Case Study: John and Mary's Financial Profile [01:26 ]
- Scenario 1: High-Quality Property Investment [06:06 ]
- Scenario 2: Two Mid-Range Properties [10:22 ]
- Scenario 3: Three Lower-Priced Properties [10:43 ]
- Comparing Scenarios and Personalized Investment [22:52 ]
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