
Grant Cardone: Why I Avoid the Stock Market and Favor Big Real Estate Bets
Grant Cardone's Investment Philosophy: Big Bets and the Illiquidity Advantage Renowned equity fund manager Grant Cardone recently shared his investment strategies in a video interview. Cardone advocates for calculated, high-stakes investments in areas he thoroughly understands. He contrasts this approach with the stock market, which he criticizes for its volatility and susceptibility to impulsive decisions. "I'm going to miss a bunch of great deals, a bunch of opportunities," Cardone admits, "But I'm gonna go big when I bet." He prefers real estate for its illiquidity, which, he argues, prevents rash decisions. He explains, "When there's volatility in a real estate deal, I'm not going to go sell a $200 million building tomorrow." Cardone's emphasis on discipline and long-term vision contrasts sharply with the often impulsive nature of stock market trading. His approach offers a valuable perspective for investors seeking a more strategic and less reactive approach to wealth building.