ASSET ALLOCATION – The solution to market volatility!

$1 Trillion Debt Deluge Threatens Market Calm U.S. government could face borrowing at rates near 6%, up from 0.1% less than two years ago. Stock market volatility, Bank failures. COVID, International / Domestic crisis. The question is where to allocate considerable capital , stress-free.

If you are waking up and checking “the market, ” checking it through the day, ending the day looking at market futures and concerned about where the stock market will open. From what the latest international/domestic crisis will come from and constantly concerned about this asset allocation, I have a positive solution. An asset class that has performed through market volatility, COVID, doubling of interest rates, civil & international unrest.

Owning the real estate of the best-run companies on the planet. Since 2009 well over $600,000,000.00 in closed transactions and not one issue. Owning Walgreens, Monsanto, Fresenius, DaVita, Dollar General, Family Dollar, Dollar Tree, ATT, Starbucks, Jersey Mikes, Aspen Dental, Urgent Care, Shoprite, and Childcare, to name a few. Not one Big Box, Not one office building. Not one failure or missed distribution. NOT ONE.

Long-term income, low risk, real estate upside potential, tax benefits.

An asset class that allows you to sleep well at night.

Let’s have a conversation and see if this asset class makes sense for you.

908.614.8931 |

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