Yesterday, I joined Ausbiz to share my thoughts on the outlook for Australian equities heading into 2025. We discussed how the current environment of economic growth and disinflation supports markets, but also the risks posed by rising valuations and global debt levels, which now sit at $312 trillion. With significant refinancing due in the next couple of years, tight liquidity could create challenges. I also talked about the opportunities in high-quality small-cap stocks, both locally and globally, and why innovative companies with pricing power remain a bright spot in the market.