by Cameron Reilly | Oct 19, 2022 | Blog, Investing Podcast, Podcast Episodes
The bipolar Mr Market, commodity updates, PE clarifications in Bible, Qantas upgrade, ATL owned Camplify acquires European base, Howard Marks raising money, Pulled pork on SLH, Tony’s coffee with SOL CEO, why Tony has always been invested in WAM, advice on how to find a financial adviser, what to do if you’re going away for 2 weeks.
by Cameron Reilly | Oct 12, 2022 | Blog, Investing Podcast, Podcast Episodes
Oil, copper and gold commodity movements, SDG bought for the DP, but it’s in rundown, Pulled pork request from Ally: BST, Interest rate changes to Master spreadsheet, dividend payments and sell lines, investment prioritization and risk tolerance, 2% capital loss/risk rule, the TGA share consolidation scenario, what is the main commodity for S32?, the coal sell line, parcel sizing.
by Cameron Reilly | Oct 5, 2022 | Blog, Investing Podcast, Podcast Episodes
Liz Truss is a genius ; COAL — if thermal is a buy, and coking is a Josephine, how do we treat YAL; I screwed up with SMR today; Portfolio updates; RBA increasing rates today; David Gottesman, Warren Buffett Partner, Dies; The market PE ratio is falling; Recession in my mind, is almost certain; All ords down 7.13% on a 1 year basis. but the Small ords is down 22.24%; Pulled Pork on: BFG; the Investment Clock; how to determine if there has been a recent positive upturn; why does TK think “Capital Goods” companies are starting to show up in droves on our list; the theory of “3PTL Sells” and dividends.
by Cameron Reilly | Sep 28, 2022 | Blog, Investing Podcast, Podcast Episodes
Fund performance; Reserve Bank money printing and inflation; Labor and Franked Dividends; Pulled Pork XTE; share market rout; portfolio update; RBA burns $50bn in QE; Viva Energy Buys back Coles Express sites; WHC announces $2bn buy back; Apollo shares jump on Jucy deal; Kudos to ABC News; Doug’s shorting experiment update; back testing around observing major triggers of a general downward trend in the market; the pros and cons of ETFs; ECX continually buying back shares and Rule #1.
by Cameron Reilly | Sep 21, 2022 | Blog, Investing Podcast, Podcast Episodes
Founder-lead businesses; dividend payment dates; Stock Doctor and updated results; keeping LICs off the buy list; Renko chart update; RBA governor under pressure; new large cap stocks; setting up a $100k DP;
GNP pulled pork; NL stands for No Liability; the benefit of taking profits.
by Cameron Reilly | Sep 14, 2022 | Blog, Investing Podcast, Podcast Episodes
Which stocks are pushing up the AORD; the making of a millionaire study; commodity changes; TER results; Pulled pork ALO; Renko charts and time frames; RRL sell line; sell lines and “not losing profits”; how TK does regression testing; would TK buy something that doesn’t have a sell line.