by Cameron Reilly | Mar 9, 2021 | Investing Podcast, Podcast Episodes
The 2021 Buffett newsletter; Why we sold HAW & RMS; how important is negative EPS; the impact of unlisted share options; the high prices of the banking sector; Tony’s thoughts on Dividend reinvestment plans; and Tony’s thoughts on investing through high inflation or high interest rate environments such as the 1980s.
by Cameron Reilly | Mar 3, 2021 | Interviews, Investing Podcast, Podcast Episodes
Our guest on this episode is American investor David Waldron, author of “Build Wealth With Common Stocks”, a great, new introduction to value investing.
by Cameron Reilly | Feb 25, 2021 | Investing Podcast, Podcast Episodes
Selling HAW. GME lawsuit. Changes to disclosure law. Stock of the week. Return on Equity as a metric. Greater portfolio allocation for higher QAV scores. Trendline buffers. Manually entered scores. BOQ / ME merger. MXI qualified audit. MQG Capital Notes 5 raise. Selling “overvalued” stocks.
by Cameron Reilly | Feb 16, 2021 | Investing Podcast, Podcast Episodes
The Kohler Effect. Broker Speak. ETF surge. Rudi on Value. The “Buffett indicator”. Stock of the week — BOQ. On market share buyback facilities. GDG and Pooled Development Fund (PDF). Reporting season patterns. MSV impairment announcement. Last Period Analysed column. KRM care and maintenance. VUK sell line.
by Cameron Reilly | Feb 12, 2021 | Investing Podcast, Podcast Episodes
This is the audio from our 4th Zoom call recorded 9 Feb 2021.
by Cameron Reilly | Feb 9, 2021 | Investing Podcast, Podcast Episodes
On this episode: GME update; BNPL stocks to be regulated in the UK; Roger Montgomery says there’s no ASX bubble; Stock Doctor commodity pricing; NCK is TK’s Stock of the Week; our portfolio EOM report; VUK cashflow; investing based on commodity prices; if TK would use options; what TK would do if there were two stocks with with similar scores; and is a buy/sell activated if price crosses over the line intra-month?