Ep. 373: After the Budget – A Deep Analysis of Who are the Winners, the Losers and What Happens Next

Cate, Dave and Mike unpack the 2026 Budget reforms, exploring impacts on prices, rents, investors, first home buyers, strategy, and whether now is the right time to buy.
Read More

Ep. 372: The New-Build Negative Gearing Trap – Why a Higher Rent and Bigger Tax Deduction Don’t Always Add Up to a Better Investment

The trio unpack exclusive research conducted by Mike and his team, revealing the hidden cost of directing investors towards new builds, and who may ultimately pay the price.
Read More

Ep. 371: The Retirement Countdown – Is Adding One More Property to Your Portfolio Close to Retirement a Smart Move or a Step Too Far?

Thanks to a great listener question from Scott, Cate and Dave explore whether Melbourne apartments could be a retirement opportunity. They both cover portfolio strategy, cash flow, negative gearing changes, strata costs and long-term investment potential.
Read More

Ep. 370: Market Update June 2026 – Sydney and Melbourne Lead National Slide, Rents Keep Climbing, Listings Rise & Yields Hit a Multi-Year High

June's market update explores tougher conditions, tight rental markets and hiking rental yields. The Trio explore how policy changes continue reshaping Australia's property outlook.
Read More

Ep. 369: The Negative Gearing Loophole Available for Established Properties that No One’s Talking About

Australia's tax changes have created a hidden opportunity for homeowners. Discover how smart mortgage structuring today could maximise future tax benefits and investment flexibility, even after the negative gearing changes.
Read More

Ep. 368: The Truth About Property Investors – What the RBA Data Reveals About Wealth, Risk & Australia’s Rental Market

The RBA's latest investor research challenges common property myths, revealing who really invests, what drives their decisions, and what future policy changes could mean for housing.
Read More