QAV S04E27 – The Mystery of The Reducing Scores

This week we discuss our EOFY result (48%); decide to sell VUK again; MYR and Solly Lew; SOTW is GRR; the Sell price for BCN; contrarian investor Michael O’Higgins’s ‘Dogs of the Dow’ strategy; Duncan and The Mystery of The Reducing Scores; the Copper and Coal commodity prices; the chart for SUL; how to understand IMA’s market depth report; Magellan’s intention to transition its High Conviction Trust listed investment company into an active exchange-traded fund; would apply 3PTL to a chart given the effect of a consolidation like for COG; and the sell lines for banks.

QAV S04E26 – The Naked Auditor

A massive two hour episode (for club members) this week! We talk about Gary’s Strawman results, a final portfolio update for the FY, Tony’s SOTW (BCN), Dylan the Intern’s latest modelling on flatlines, the chart for MIL, why we sold ATL, lots of questions about using Simple Moving Averages, thoughts on DSK, why Buffett still owns Coke, and then we finish with an interview with club member James Oliver who is an auditor with a major accounting firm, and talks us through what we should be watching for when it comes to qualified audits.

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