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Weekly Top Ten News Stories

Weekly Reports | Apr 17 2015

Our top ten news from 09 April 2015 to 16 April 2015 (ranked according to popularity).

1 Shell-BG And The Implications For Australia’s Energy Sector
Thursday 09 April 2015 – 02:38 PM

Shell has shaken up the local oil & gas market with its opportunistic takeover offer for BG. With both companies holding interests in Australia, what does this mean for other listed energy stocks?

2 How Worried Should You Be About A Market Crash?
Wednesday 15 April 2015 – 11:52 AM

Peter Switzer of the Switzer Super Report debunks the scaremongerers.

3 I Do This To Make Money, So Read This!
Friday 10 April 2015 – 10:29 AM

Peter Switzer of the Switzer Super Report defends the value to investors of expert advice.

Weekly update on recommendation, target price, and earnings forecast changes.

5 Your Editor On Switzer: Market Myths That Misguide
Tuesday 14 April 2015 – 10:26 AM

The FNArena Editor unravels some of the market truths that seem right, but are simply misleading.

Subdued mineral sands; Chinese iron ore miners; China’s steel output; UBS revamps oil outlook; Credit Suisse more optimistic on nickel; rural confidence improves.

7 Equity Strategy: Is Australia Overvalued?
Wednesday 15 April 2015 – 10:08 AM

Two brokers offer why they still see upside for the Australia stock market.

Morgan Stanley upgrades media; My Net Fone acquisition; Myer and A-REITs; pressure on life insurers; inbound tourism and food exports benefit from weaker Australian dollar.

Commodity trough may be nigh; balance emerging in copper; aluminium supply lifts; nickel supply crunch; iron ore blues; gold loses its lustre for Citi.

10 Material Matters: Bulks, Base Metals And Gold
Monday 13 April 2015 – 12:38 PM

The gloomy world of bulks; Credit Suisse constructive on copper; Macquarie slashes Oz nickel miner forecasts; and gold’s place in 2015 and beyond.

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