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.
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Ep. 367: The Wealth-Building Balancing Act – Property, Shares, Debt, Cash Flow and the Question of How Much is Enough?

A listener with a $12 million portfolio asks what comes next. The Trio explore leverage, diversification, debt reduction and building wealth with greater simplicity.
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Ep. 366: Market Update May 2026 – Flat National Growth Masks Big City Moves, Budget Nerves Build & Rents Keep Rising

Cate and Mike unpack the May 2026 market update, covering investor sentiment, rental trends, tax changes, housing supply and what buyers should watch next.
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Ep. 365: Reviewing Your Home Loan – Negotiating Interest Rates Like a Pro, Offset Strategy & Refinancing Without Regret

Rising rates hurting cash flow? The Trio shares practical strategies to reduce home loan costs, optimise offsets, negotiate better rates and refinance smarter.
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Ep. 364: The Budget Aftershock – What Comes Next for Property Prices and Yields & What Does a ‘Perfect’ Investment Look Like Now?

Dave, Cate and Mike unpack post-budget uncertainty through a great listener question, exploring shifting investor sentiment, emerging opportunities, and the importance of strategy and cash flow awareness.
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Ep. 363: Market Update April 2026 – Capital City Divergence Widens, Investor Demand Wobbles, Rents Accelerate & Budget Fallout Begins

Our April 2026 monthly update is out! April showed a divided market: weaker Sydney and Melbourne, strong investor-led growth elsewhere, rising rents, falling sentiment, and increasing uncertainty ahead following the budget announcements.
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