As voters start heading to the polls in the Australian election, the market turbulence from Donald Trump’s trade war continues to drown out much of the leaders’ campaigns - even as some policies could impact investments across a range of asset classes.
This week on the podcast, host Chris Bourke asks cross-asset reporter Richard Henderson: what should investors be watching out for in the days running up to the May 3 vote - and beyond?

The Great Yen Rebound and What It Means for Australian Investors
09:01

The Winners and Losers in Australia’s Value Economy
12:38

Why a Sydney Property Developer Has Private Credit Investors on Edge
13:48