by Cameron Reilly | Sep 7, 2022 | Blog, Investing Podcast, Podcast Episodes
Iron Ore is a sell; Down days, up days… what about neutral days; Rule 1 and dividends; Josephine but above its 2BL; Happy birthday Warren; Taylor’s article;
Pulled Pork: SMR; SGM less impacted by the iron ore price; GRR and Renko charts; ALO, a scalable software play; moving average v 3PTL; WHC thoughts
by Cameron Reilly | Aug 31, 2022 | Blog, Investing Podcast, Podcast Episodes
Time to check your 3PTL alerts; spare a thought for poor Andrew Forrest; NCK’s results; Ophir fund performance; Portfolio updates; Reversal of fortune for BPT, back on the buy list; Some old friends return to the buy list – SUL, BFG and WHC; SGM is a scrap metal recycler tied to the iron ore price; TK mistakenly bought KAR and VEA; he also bought NWS but probably shouldn’t have; Pulled Pork is ABA; PTB enters into scheme implementation deed; JHG price/op cashflow; the outlook for REITs; banks and ‘Price to Op cashflow ratio’; TK’s thoughts on a 2nd sell line; has Tony found he has had any better or worse luck on stocks he’s repurchased after making a loss; sell line for EHL; who is our Qaverick of the Week?
by Cameron Reilly | Jul 13, 2022 | Blog, Investing Podcast, Podcast Episodes
This week: I caught COVID, stochastic processes, interest rate rise, growth after corrections, Munger invests in Australia, the Coppock Curve, Buffet backs BYD, Pulled pork on WHC, 2BL examples, banks and downturns, and underlying indicators for retail.