Nathan Birch shares his insights on the Australian property market, discussing risks, values, and strategies for investors.
In this episode, Nathan shares his honest take on the Australian property market, outlining where he sees risk, where value still exists, and why he is strategically selling selected assets. He also breaks down how investors can recycle equity, strengthen cash flow and reposition their portfolios for the next phase of growth. Is your portfolio still set up for where the market is heading next? You won't want to miss this episode! 00:00 - Introduction 00:46 - Why this market update matters 01:37 - Sydney and NSW outlook 03:16 - Queensland markets and rising risk 05:48 - Darwin, Perth and South Australia 06:55 - Why Melbourne looks interesting now 08:00 - Bulk deals and buying below rebuild cost 09:05 - Why Birchy is selling some properties 10:15 - Moving away from motels and development sites 12:03 - Repositioning capital into better assets 14:28 - How investors are multiplying portfolios 17:45 - Building debt-free income through portfolio reshuffling 19:20 - The three outcomes for any asset 20:35 - Redeploying capital into better opportunities 22:22 - Reviewing your portfolio with intent 23:47 - Spotting and fixing lazy equity 24:27 - Final thoughts and how to get help Make your…
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