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RBA spurs market to gain, Mineral Resources rockets, Nuix jumps

The local market was buoyed to a significant 1 per cent gain for the week, following a strong day on Friday. The 0.7 per cent gain was driven by the energy and materials sector which gained 1.1 and 3.3 per cent respectively on news of a potential split of Mineral Resources (ASX:MIN). Rumours that the…

Drew Meredith | 12th Sep 2022 | More
RBA speech boosts market, Link deal set to proceed

The Australian sharemarket surged in the afternoon, gaining more than 1.6 per cent after the Reserve Bank Governor flagged a more cautious approach to future rate rises. Every sector finished the day higher and significantly so with the technology sector gaining 2.8 per cent as bond yields fell. The top performers were Life360 (ASX:360), Megaport…

Drew Meredith | 9th Sep 2022 | More
Market retreats, healthcare, currency boost, Metcash upgrades

The Reserve Bank of Australia’s aggressive pursuit of a neutral interest rate policy setting has offered a challenging backdrop to the sharemarket this week, with the S&P/ASX200 falling 1.4 per cent on Wednesday. It wasn’t rates alone, however, with the oil price falling to levels not seen since January 2022 as concern grows about the…

Drew Meredith | 8th Sep 2022 | More
  • Rate Rises the New Normal

    After a positive start, the local market turned tail after the Reserve Bank board lifted the cash rate target by 50 basis points to 2.35 per cent, its highest level since December 2014, at its meeting yesterday. The central bank has now raised interest rates for five months in a row, in its most aggressive…

    Drew Meredith | 7th Sep 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
    Which stocks are benefiting from fast money?

    Share trading platform eToro was able to show which global companies recorded the biggest increase and decrease in shareholders on its platform during Q2. Here are the top and bottom ten companies.

    Ishan Dan | 6th Jul 2022 | More
  • What is the connection between bond yields and equity markets?

    While central banks around the world move to combat rising inflation through the aggressive hiking of interest rates, the knock-on effect has been broad-based sell-offs in global share markets as investors rotate away from risk assets into safer assets. At the same time, there has also been a sell-off in bond markets which has seen prices fall and yields rise higher.

    Ishan Dan | 1st Jul 2022 | More
    What to watch for in portfolios amid a year of change

    The latter half of 2021 and the majority of 2022 have been among the most challenging periods for investors in several decades. The traditional balanced portfolio, defined as one that holds 40 per cent of assets in government bonds and 60 per cent in indexed equities, is on track for the sixth-worst beginnings to a year in the last century.

    Drew Meredith | 29th Jun 2022 | More
  • Buy, Hold or Sell: Domino’s Pizza (ASX: DMP)

    After initially soaring as high as $161, the Domino’s Pizza Enterprises (ASX: DMP) share price has crashed back to earth. So why has the market turned sour on Domino’s?

    Lachlan Buur-Jensen | 22nd Jun 2022 | More
    Is this the beginning, rather than the end for the 40/60?

    2022 has been a torrid year for both bond and equity markets, but particularly those outside Australia. Following Friday’s weak close, the S&P500 is now down close to 19 per cent for the calendar year to date and the US government bond index is down around 13 per cent. As readers in the finance professional would know, these are the two key inputs into the 40/60 or ‘balanced’ portfolio.

    Drew Meredith | 17th Jun 2022 | More
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