Financial Markets Update: March
Tariffs spark major market sell-off, echoing 1987, 2008 and 2020 crashes. Uncertainty remains, but portfolio strategies focus on risk and opportunity.
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April 16, 2025
ASX Reporting Season Wrap
The webinar focused on the ASX reporting season for February 2025. The session aimed to unpack the key themes, highlights, and takeaways from the reporting season, and discuss their implications for the Australian market and portfolio positioning.
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March 06, 2025
Financial Markets Update: January
January saw strong gains in equities, REITs, and bonds. 2025 market outlook remains positive, with growth-focused portfolios and rising commodities.
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February 21, 2025
Financial Markets Update: December
December saw mixed financial market performance, with rising bond yields impacting interest rate-sensitive sectors.
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January 28, 2025
Financial Markets Update: November
Markets surged in November following Donald Trump’s re-election, but uncertainty remains due to mixed economic data both locally and globally. The Reserve Bank of Australia kept interest rates unchanged, though a rate cut is still expected in early 2025 as economic conditions evolve.
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December 19, 2024
Financial Markets Update: October
Financial markets were mixed in October, as rising bond yields hit rate-sensitive assets while a weaker Australian dollar boosted global equities. Investors brace for inflation risks and trade impacts under a Trump presidency.
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November 28, 2024