by Cameron Reilly | Aug 2, 2023 | Blog, Investing Podcast, Podcast Episodes
This week we’re talking about what the CCP and TRS share price movements mean for the economy, the wheat price, the ‘year of the bond’, the difference between ETFs and LICs, and we have our interview with listener Brent Sweeney who recently attended the Berkshire Hathaway AGM in Omaha, Nebraska!
by Cameron Reilly | Jul 26, 2023 | Blog, Investing Podcast, Podcast Episodes
This week in the Club edition we’re talking about movements in Gold and Lithium prices, why Super Funds suck, why the ASX is in a “dead zone”, the big week of company reporting coming up, our Stockopedia trial, a pulled pork on KSL, URW selling down US malls, RIO in recycling push, technical indicators, and what TK thinks about companies with lots of shares held in escrow.
by Cameron Reilly | Jul 19, 2023 | Blog, Investing Podcast, Podcast Episodes
Cameron’s powers of prediction, FMG’s divorce, Bond payouts, what is a RINO, new QAV 3PTL sell alerts, do we get rid of 2BL / JOSEPHINE, Ryan’s analysis on 0.1 and ADT levels, Pulled Pork on LAU, the HOPE model, BRB / RMS takeover, sell-side vs buy-side analysts.
by Cameron Reilly | Jul 12, 2023 | Blog, Investing Podcast, Podcast Episodes
LAU is a the new Michael Jordan; selling MQG; URW updates; wheat price confusion; club member results; pulled pork on NZM; investing in companies with high levels of debt or intangibles.
by Cameron Reilly | Jul 5, 2023 | Blog, Investing Podcast, Podcast Episodes
It’s the end of FY23 and we reveal the QAV portfolio performance as well as our personal portfolio performance and discuss the performance of some QAV Club members. We also take a question from Alex about how young people might get started in investing, discuss the Dogs of the Dow, a pulled pork on URW, and potential changes to Rule 1.
by Cameron Reilly | Jun 28, 2023 | Blog, Investing Podcast, Podcast Episodes
On this week’s episode: Tin is a buy, which makes MLX (the subject of Tony’s pulled pork) a buy. BRK is just an oil play as far as we can tell, but Crude Oil just became a sell. We clarify Steve Mabb’s thoughts on using Betashares Australian High Interest Cash ETF (AAA) to park our cash and agree it’s worth a try. Artificial intelligence powers US shares into a bull market, but will it help the AORD? Tony continues to criticise the RBA’s use of interest rates. If DBI is a “bond proxy” should it be on our buy list? C6C dropped by 18% yesterday — we don’t know why, but discuss whether or not there are any Rule 1 fudges.