by Cameron Reilly | Dec 22, 2021 | Blog, Investing Podcast, Podcast Episodes
In this episode we’re talking about MYR and LAU warnings, replacing GAP with GWR, CAA upgrade to guidance, Trading View commodity alerts, our stocks of the week (FEX, GMA), our best portfolio stocks for the week, the world’s second tallest building is a warning sign, and CGF’s business model.
In the Club edition, we also talk about selling and buying back into FMG instead of just holding it, MFG’s collapse and what their management might be thinking about right now, and more details on the story about Tony’s 20x return on MND back in the day.
by Cameron Reilly | Dec 6, 2021 | Blog, Transcripts
Transcript for QAV #448.
by Cameron Reilly | Dec 1, 2021 | Blog, Investing Podcast, Podcast Episodes
This week we talk about the market’s reaction to Omicron, the new AF worksheet, builders collapsing, Howard Mark’s latest memo, new sells, our top stocks of last week, our stocks picks for this week and whether or not we should go to cash in the current market and wait for things to improve.
In the club edition, we also talk about why we’re not buying into ETFs and LICs, what TK thinks about swapping winners for something that is on the buy list, and if we should sell any share that has a 10% drop at any time, regardless of buy price.
And, of course, The Beatles.
by Cameron Reilly | Nov 29, 2021 | Blog, Stock Tips
We have two stocks to bring to your attention to this week. This recommendation is based on Tony’s analysis using data from Sunday, 28 Nov 2021.
by Cameron Reilly | Oct 13, 2020 | Investing Podcast, Podcast Episodes
This week we discuss whether or not high levels of director ownership is good or bad; how Tony manages his portfolio allocation; broker commissions, CRN, HJPN, LAU, and the SAR and NST merger, and more!