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Weekly Top Ten News Stories

Weekly Reports | Oct 09 2015

Our top ten news from 01 October 2015 to 08 October 2015 (ranked according to popularity).

1 Small Cap Industrials In Focus
Wednesday 07 October 2015 – 10:00 AM

In This Week’s Weekly Insights:

– Small Cap Industrials In Focus
– Audio, No Video
– Bob Farrell’s 10 Rules of Investing
– Charts To Ponder About
– Rudi On Tour
– Rudi On TV

Small Cap Industrials In Focus

By Rudi Filapek-Vandyck, Edit

2 Weekly Recommendation, Target Price, Earnings Forecast Changes
Monday 05 October 2015 – 10:00 AM

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

3 Uranium Week: Little Joy For Miners
Tuesday 06 October 2015 – 10:23 AM

Spot and term uranium prices slipped last week as another prospective producer decided against proceeding with its project.

4 Investor Mood Hit By Falling Prices, High Volatility
Friday 02 October 2015 – 10:28 AM

Results from the September Australian Investors’ Sentiment Survey show sentiment has taken a blow.

Subdued economic indicators; Apple boosts consumer electronics; supermarket networks; insurer brand pricing; A-REITs performance; housing cycle; building materials stocks; Asian gaming junkets; Goldman Sachs initiates coverage on 3P Learning.

6 Confused About The Stock Market? This Is What I’m Doing
Wednesday 07 October 2015 – 12:29 PM

Peter Switzer of the Switzer Super Report explains how he is ignoring short term volatility to concentrate on a longer term strategy.

7 Nickel Deficit Diminishing
Thursday 01 October 2015 – 12:44 PM

When Indonesia announced a future ban on nickel exports some two years ago expectations were for a mounting deficit in the metal. Now, ANZ analysts calculate that prospective deficit is fast diminishing.

Deutsche Bank and Morgan Stanley downgrade commodity prices and review the outlook for miners; tin pressured by supply; lead outlook comparatively better; several factors weighing on steel.

9 Your Editor On Switzer: No Guarantees
Thursday 01 October 2015 – 10:29 AM

This is a time to be cautious and nimble, warns FNArena Editor Rudi Filapek-Vandyck

10 ASX200: Upside Confidence Returns
Tuesday 06 October 2015 – 11:53 AM

Michael Gable of Fairmont Equities suggests the ASX200’s retest of the low and subsequent rebound suggests upside for the index from here.

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