by Cameron Reilly | Apr 17, 2024 | Blog, Investing Podcast, Podcast Episodes
The AORD dropped this week, as did BOQ, TK does a Pulled pork on RSG.
Also in the Club edition: WOW’s CEO threatened with time in the big house, FND does an Indian ATM deal, TK talks about the Pulled Pork and Billionaire Portfolios.
by Cameron Reilly | Apr 10, 2024 | Blog, Investing Podcast, Podcast Episodes
The IMF on China, Diller on Trump Social, Bitcoin and Beanie Babies, pulled pork on A1M.
Also in the Club edition: Cash and Armaguard, Anscombe’s Quartet, Regression testing, Tesla veers to the EV slow lane, Ex-defence minister Pyne is Hanwha’s man in Canberra, Karoon plots path from oil junior to major through Gulf of Mexico, and a thought experiment about when TK would sell if the stock market didn’t give live prices.
by Cameron Reilly | Apr 3, 2024 | Blog, Investing Podcast, Podcast Episodes
This week: Daniel Kahneman RIP, Sturgeon’s Law, Pulled pork on ASB
Plus, in the Club edition: Valuing Bitcoin, Coking coal a sell, New Regression Testing results, Alchemy substack,
Collins St does well again, ABB news, the performance of founder lead companies.
by Cameron Reilly | Mar 27, 2024 | Blog, Investing Podcast, Podcast Episodes
This week: Do ASX investors need to get used to expensive stocks, and a pulled Pork on G8 Education (GEM).
Also in the Club edition: theories on why KSC spiked, whether AMC CEO’s sudden resignation is a red flag, MEA is being sold, Macquarie’s new FOMO meter, ABB’s Superloop troubles, and what to do if you still own VUK.
by Cameron Reilly | Mar 20, 2024 | Blog, Investing Podcast, Podcast Episodes
This week, while the RBA meets, we talked about ABB dropping 20% in a day, steel and coking coal fall, China’s economy beats expectations in the West, regression testing update, Damstra (DTC) is taken over, and a pulled pork on MSV.
by Cameron Reilly | Mar 13, 2024 | Blog, Investing Podcast, Podcast Episodes
This week: Delisting of TGA, VUK acquisition, Pulled pork on BOQ.
In the Club edition only: SD fix NWS issue, IRI loses Chair of Audit Committee, Tony’s testing on 2BL sell trigger, Tony answers questions about how to manage a portfolio if you move overseas, reducing our average daily trades to mitigate risks of the QAV spike, the risks of cap raises, different ways how a company can take on debt, and the benefits of share buy backs.