Weekly market & economic update – 22 October 2010

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Headline developments of the past week The focus over the past week was on China which undertook a surprise 0.25% increase in benchmark lending and deposit rates. This caused a

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Weekly Market & Economic Update, 15 October 2010

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Headline developments of the past week After 28 years in the dogbox on the back of falling commodity prices and poor economic management the Australian dollar spiked above parity against

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Weekly market & economic update Friday 08 October 2010

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Headline developments of the past week The Reserve Bank of Australia surprised many by leaving interest rates on hold, but it made it quite clear that it retains a tightening

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Weekly market and economic update – 01 October 2010

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Headline developments of the past week Concerns about problems in Europe returned to the fore over the last week with Moody’s downgrading Spain’s credit rating, ongoing issues regarding Irish banks,

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Weekly market & economic update

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Headline developments of the past week While the risk of a double dip back into recession may be waning, the prospect of sub-par growth in key developed countries suggests that

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Global Reflation Mark II, gold and the Australian dollar

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Key points The sub-par recovery in the US, Japan and Europe and constrained fiscal policy most likely means that we will see another round of global policy reflation, centred on

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Weekly market & economic update 17 September 2010

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Headline developments of the past week Global financial market regulators – known as the Basel Committee on Banking Supervision – announced tougher capital requirements for banks so that they can

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Weekly market & economic update 10 September 2010

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Headline developments of the past week US President Obama announced plans for another round of fiscal stimulus including increased infrastructure spending, accelerated tax write-offs for new investment that would allow

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Lessons for US shares today from Aust in the early 1990s

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Key points Shares normally go through a tough patch in the second year following a bear market low. This can reflect worries about monetary policy tightening or worries about a

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