RiskManagement Tag

Outlook for 2026 and Beyond: What We’ve Learned and What Matters Next As we reflect on 2026, one thing is clear: this has not been a “normal” market cycle. Instead, it has been shaped by a small number of powerful forces that have dominated returns, challenged...

What Are Geared Investment Funds?* *And Why Borrowing for Shares Isn’t “Riskier” Than Borrowing for Property Many Australians are comfortable borrowing hundreds of thousands of dollars to buy an investment property. Yet the idea of borrowing to invest in shares often feels “too risky”. Some even believe...

Are We in an AI Bubble? Why This Time Might Be Different Artificial intelligence (AI) has been one of the biggest drivers of market enthusiasm over the past two years. With share markets — especially in the US — hitting record highs, many investors are asking...

Using Your Mortgage to Build Wealth – Not Just Pay Interest For most Australians, the mortgage is their largest financial commitment. The natural instinct is to focus on paying it off as quickly as possible to reduce interest costs. While that’s important, there are strategies to...

Gold as an Investment: Why It Still Matters in a Diversified Portfolio (with Recent Performance) Gold is not just theoretical insurance — recent data shows how it has behaved relative to equities and bonds over the past decade. Below is a comparison, followed by an updated...

Understanding Alternatives: Private Equity, Private Credit, and Unlisted Property When most people think about investing, the first things that come to mind are shares on the stock market or term deposits with the bank. But there’s a growing category of investments known as alternative assets, which...

What to Do if the Market Tanks When You're Retired or Close to It Uncertainty is becoming the new normal for investment markets. After the global economy began recovering from the pandemic, fresh challenges like geopolitical conflicts and shifting global alliances introduced new volatility. This can...

[vc_video link='https://www.youtube.com/watch?v=5g22qy6DrLI'] [vc_separator type='normal' position='center' color='#000000' thickness='1' up='20' down='20'] Asset Class Performance October was generally a risk-off period with declines in both global equity and bond returns. Solid US economic data and uncertainty ahead of the US Presidential election saw both bond yields and the $US rise,...

Dollar Cost Averaging Explained Understanding Dollar Cost Averaging: A Strategy for Long-Term Success Investing in the financial markets can often feel daunting, especially with the ever-present ups and downs. One of the most effective strategies to reduce risk over time, while still capturing market growth, is Dollar Cost...