The Hold Machine with Gabe Schouten
Gabe Schouten walks through the real structure of a live real estate deal including financing strategy capital stack negotiation logic and risk analysis. Listeners learn how the numbers evolved during due diligence and how strategic adjustments transformed a moderate return into a high performance investment. This episode matters because it demonstrates how real operators adapt deals in real time instead of relying on static projections. What You’ll Learn * How to structure a deal using seller financing * How to align investor equity with capital contribution * How due diligence changes return projections * How alternative rent strategies affect profitability * How to build downside protection into a deal Key Topics Covered * Initial Deal Structure * Seller Motivation and Negotiation * Due Diligence Discoveries * Strategy Shift to Increase Returns * Value Add Opportunity * Final Optimized Scenario Practical Takeaways * Profit is created through structure not price alone * Seller terms can outperform bank financing * Returns improve when strategy matches asset design * Risk decreases when break even occupancy is low * Creative thinking expands deal potential Action Steps 1. Analyze every deal using multiple rental models 2. Negotiate terms based on seller priorities 3. Recalculate returns after inspections 4. Identify physical ways to increase income 5. Ensure the property breaks even below full occupancy Watch this Episode on YouTube [https://youtu.be/Z3j-m8-LYx8] gabeschouten.com [gabeschouten.com]
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