From hyperscalers to AI labs, demand for data centres is exploding. GMG and NXT are Australia’s best exposure to the trend.
From record debt to money printing, the signs of a looming crisis are flashing. “The Big One” may hit within our lifetime.
BHP’s dividend hit an eight-year low, yet the share price rose. What matters now is where iron ore, coal and copper go next.
Every unimaginative 20-stock portfolio held CSL for its growth. A 12% plunge and restructure shows that story has changed.
The US debt crisis is spiralling, with $37 trillion in debt and interest costs now near $1 trillion – five years ahead of schedule.
Telstra’s results gave income investors what they wanted, but a big share price rally may have made the stock riskier.
CBA shares have fallen 5% after results, but for income-focused investors, the case for holding is as strong as ever.
Global X’s new A300 ETF tracks the “impossible benchmark” that almost no fund manager can beat.
In Part 2 of the Q&A, Marcus covers everything from using super wisely to buying with a partner – and what to do with $5k.
Part 1 of Marcus’s Q&A follow-up dives into your biggest questions – from dividends vs rent to managing share market volatility.