Understand the mechanics of pooled mortgage lending and how returns are generated.
Equity valuations, index investing vs stock picking, and realistic return expectations.
Side-by-side comparison of volatility, liquidity, and income consistency.
When to combine both, and how to size each position for your risk appetite.
Key tax implications for investors across both asset classes.
Get your personal investing questions answered in real time.
Carlo Turner has served as Fund Manager since The CEO Fund’s inception, directly overseeing the acquisition, financing, development, and delivery of the fund’s assets alongside his partners. Prior to this role, Mr. Turner worked as a Financier across multiple management positions in financial markets including Investment Banking in Commodities, Stocks, and Bonds.
Carlo has traveled extensively around the world representing substantial holdings of wealthy clients, and has consulted numerous CFOs and hedge fund managers in the trade and acquisition of securities exceeding $100,000 million. He brings more than 15 years of experience in corporate finance, complemented by deep expertise in a wide variety of real estate backed investments.
Years in corporate finance
Securities
consulted on
Clients across markets worldwide