by Cameron Reilly | Jan 28, 2026 | Australia, Blog, Investing Podcast, Podcast Episodes
In this episode of QAV Australia, Cameron and Tony brave the Australian heat to discuss a mix of music history and high-stakes value investing. The duo pays tribute to the late Midnight Oil drummer Rob Hirst, reflecting on his iconic sound and the band’s cultural impact. Turning to the markets, they analyze the record-breaking success of hedge fund manager Chris Hohn, whose old-school value approach netted $28 billion in a single year. The episode features a deep dive into the complex takeover saga surrounding Humm Group (HUM), weighing the company’s strong commercial leasing profits against its controversial buy-now-pay-later (BNPL) pivot and ongoing governance battles involving founder Andrew Abercrombie and Credit Corp. Finally, they wrap up with portfolio updates showing significant outperformance in both Australian and US dummy portfolios.
by Cameron Reilly | Jan 26, 2026 | Blog, Light, Light Portfolio Results
Here’s what we’re trading today.
by Cameron Reilly | Jan 24, 2026 | Blog, Weekly Scorecards
Happy Stockmarket. Here is our Australian buy list for this week based on our value investing system. As always, please check our work, DYOR, consult a financial advisor before making any investing decisions. AU LIST: QAV AU Buy List...
by Cameron Reilly | Jan 21, 2026 | Australia, Blog, Investing Podcast, Podcast Episodes
In this episode, Cameron and Tony dive into the complex geopolitical and economic landscape of early 2026, examining China’s record trade surplus and the stalling impact of US tariffs on manufacturing. They explore how the AI boom has acted as a primary driver for US growth, potentially masking the drag created by trade restrictions. Closer to home, the duo discusses Australia’s manufacturing dependencies and the rising influx of Chinese EVs and renewable energy assets. The heart of the episode features deep dives into listener-driven data, comparing the QAV process against “buy and hold” strategies, and the Club edition contains a “Pulled Pork” analysis of **Stanmore Resources (SMR)**. From managing red flags in stocks like **Fleetwood (FWD)** to the nuances of superannuation-approved ASX 300 lists, this episode balances high-level macro theory with the practical, rules-based discipline of value investing.
by Cameron Reilly | Jan 19, 2026 | Blog, Light, Light Portfolio Results
Here’s what we’re trading today.