2019-20 saw poor returns – but it could have been much worse

From

Key points 2019-20 saw a rough ride for investors as coronavirus hit resulting in small losses for well diversified investors. Key lessons for investors from the last financial year were... Read more continue reading

RBA continues to eschew a negative rates policy

From

While acknowledging the severe damage to the economy from the COVID-19 crisis and the now elevated potential risks of ‘second wave’ COVID-19 infections, the Governor and RBA Board continue to... Read more continue reading

Investors seeking better rates of return from fixed income

From

As investors seek alternative sources of yield, many are recognising that investing in directly originated private loans to Australian companies can generate an important source of alternative income. In response... Read more continue reading

Surviving the dividend drought

From

Introduction The Australian market declined sharply from the 20 February high of 7,160 to the 23 March low of 4,536, and has since recovered to over 6,000 at the time... Read more continue reading

Volatility stirs as fears grow over a ‘second wave’ and IMF downgrades global growth outlook

From

Key points: Market sentiment has turned negative on concern that the spreading coronavirus could force policy makers to slow the pace, or reverse, business re-openings. The International Monetary Fund downgraded... Read more continue reading

Using infrastructure debt in a diversified portfolio

From

In the first of a two-part series on asset allocation and infrastructure debt, Andrew Jones, Global Head of Infrastructure Debt at AMP Capital, provides a framework for considering infrastructure debt in the... Read more continue reading

Capital raisings, a source for outsized returns

From

Market participants, especially equity investors, can be forgiven if the words déjà vu spring to mind during this COVID-19 period. Although there are definite similarities between the Australian equity market... Read more continue reading

Covid-19 will have long lasting social and economic consequences

From

The pandemic has created a fertile environment for social unrest, with much depending how well governments address the crisis and the subsistence needs of their citizens. In a recent research... Read more continue reading

Zenith Managed Account clients increase through market volatility

From

Demand for Zenith Investment Partners managed account services continues to grow amid the uncertainty and volatility in investment markets sparked by the Covid-19 pandemic. Zenith’s CEO David Wright said it... Read more continue reading

Longer-term factors key for AREIT sector

From

The Australian Real Estate Investment Trust (AREIT) sector may have taken a COVID-19 hit however short-term implications should not deter investors from taking a longer-term view of the market, says... Read more continue reading