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Long-term returns data compelling, but systemic approach to small caps required

Small cap investing has considerable upside, which the long-term returns data show. But many small caps are less than quality grade, and the managers picking them can be rife with bias.

Staff Writer | 31st Mar 2023 | More
Getting a clear view of the gap between stock picking and proactive management

Proactive management and stock picking are, in some ways, two sides of the same coin. But advisers and investors should be aware of their fundamental differences, according to HMC Capital.

HMC Capital | 22nd Mar 2023 | More
  • Profit important but cash is back, even during times of high inflation

    British investment firm Ruffer’s current cash weightings have hit historic levels after perceived risks in the global economy moved it to help preserve rather than accumulate capital.

    Ishan Dan | 9th Dec 2022 | More
    Infrastructure continues to lead the way as inflation surges

    The Reserve Bank of Australia (RBA) board raised its official cash rate last week for a third consecutive month. The bank has adopted a dovish stance saying future hikes are “not on a pre-set path” and that the economy will likely slow as a result of these hikes.

    Ishan Dan | 5th Aug 2022 | More
  • Carbon credits, burgeoning asset class on the road to net zero

    More and more companies are actively pledging to go carbon neutral by signing either the UN’s Climate Neutral Now pledge or the Net-Zero Carbon by 2040 pledge. Some heavy hitters have already signed up.

    Ishan Dan | 3rd Aug 2022 | More
    Cannabis, solar, lithium trends remain in their infancy, investors best pay attention

    Despite the widespread damage caused by Covid-19, the crisis accelerated the pace of technological advancements along with our ability to adapt to the latest changes. A survey by McKinsey & Co found that Covid-19 sped up the adoption of digital technologies by several years.

    Ishan Dan | 3rd Aug 2022 | More
    Is the US heading for a hard landing?

    With annual inflation running at 9.1 per cent, a 41-year high, and a raft of Federal Reserve rate rises to follow, the risk of a hard landing for the US economy has risen sharply. A growing chorus of economists has given up hope that the Fed will be able to engineer a soft landing given its latest predictions.

    Ishan Dan | 29th Jul 2022 | More
    The view from the oasis of optimism

    Peter Berezin, chief global strategist at BCA Research, discusses his view of the US economy from an “Oasis of Optimism” on a recent Middle East trip.

    James Dunn | 22nd Jul 2022 | More
    The true value of advice is in avoiding mistakes

    The value of advice is one of the hottest topics in finance right now. Successive governments have effectively strangled the demand side of the financial advice market, through layers of red tape and compliance, to the point that financial advice is now borderline unaffordable for many.

    Drew Meredith | 20th Jul 2022 | More
  • Is it time to jump back on the tech train?

    The technology sector has been the best performing sector since the GFC, returning over 300 percent since December 2008. The question is, where is tech likely to go over the next 6-12 months?

    Ishan Dan | 15th Jul 2022 | More
    Global asset portfolios to deliver 5% a year: BCA

    New research from BCA Consulting predicts Australian equities will outperform global equities over the next 10 to 15 years.

    Nicki Bourlioufas | 13th Jul 2022 | More
    The case for a diversified precious metals allocation

    While gold has long been regarded as the “safe haven” asset during times of fear and peak volatility, the investment team at ETF Securities has highlighted a group of investment assets that share similar qualities to that of gold, allowing the same safe-haven status.

    Ishan Dan | 6th Jul 2022 | More