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Banks the key to today’s market

22 May 2015 By Ric Spooner (Chief Market Analyst, CMC Markets) by Ric Spooner The question of when and how fast the US Fed begins to lift interest rates remains the dominant macro issue for equity markets and will be front of mind for traders again today.

The Eye of the storm

21 May 2015 By Michael McCarthy (chief market strategist, CMC Markets) by Michael McCarthy The release of FOMC meeting minutes overnight saw the global bond market rout pause as investors heeded a clear signal that a June rate hike from the Fed is all but ruled out. However, additional comment that the economic weakness in the US in the first quarter of the year was likely “transitory” moderated any enthusiasm, and could see the Australian share market test a key level of support today.

Amalgamated hits the heights

20 May 2015 Intelligent Investor by Jon Mills Amalgamated has made excellent returns since we upgraded it two years ago but what should you do now?

Commodities and bond yields keep investors nervous

20 May 2015 By Ric Spooner (Chief Market Analyst, CMC Markets) by Ric Spooner The stock market looks set for a nervous open this morning as investors react to lower commodity prices and keep a watching brief on rising bond yields.

A global approach is key to higher returns

20 May 2015 Cadence Capital Limited by Karl Siegling Australian investors would be well served investing portions of their equity investment portfolio into global equities to take advantage of the fall in the Australian dollar and falling interest rates. Karl Siegling from Cadence Capital explains how you can profit from these downward trends.

What to do with South32?

19 May 2015 Intelligent Investor by Gaurav Sodhi South32 has made an underwhelming sharemarket debut. What should investors do now?

BHP Billiton: Interim result 2015

19 May 2015 Intelligent Investor by Gaurav Sodhi Plunging profits hide the fact that this was a fine result and our investment case is on track.

Bond Sell Off Undermines Shares

19 May 2015 By Michael McCarthy (chief market strategist, CMC Markets) by Michael McCarthy Global bond yields continue to rise against a backdrop of rising US interest rates and a looming Greek tragedy. The adjustment to a post QE world is draining enthusiasm for shares, as Europe’s 1% gains faded during US trading. Although futures markets are pointing to gains for Asia Pacific shares at the opening, the green may turn to red over the local session, especially if yesterday’s heavy, ex-dividend selling of banks returns.

Are Sirtex’s best days behind it?

18 May 2015 Intelligent Investor by Graham Witcomb Sirtex shareholders have been on a rollercoaster ride. But are its latest clinical trial results really as bad as they look?

Sea of Red as Financial Come Under Pressure

18 May 2015 By Tony Kwok (Sales Trader, CMC Markets) by CMC Markets The Australian share market sold off after the open, driven by selling in financial and discretionary stocks. ANZ traded down 2 percent while NAB and WBC are hitting lows not seen since January this year. The sector has come under a pressure lately as policy reform and an overheating property market are posing a risk on the outlook on the sector.

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