A mixed reporting season has its hits and misses

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Returning capital to shareholders a worrying trend A difficult six months in a number of sectors has led to mixed reporting of Australian listed companies, says Jamie Nicol, CIO, Dalton

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Video: Winners, losers and trends

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Paul Taylor, Portfolio Manager, Fidelity Australian Equities Fund shares his insights from reporting season.  

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Have corporate strategies for the current financial environment worked?’

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Brad Potter, Portfolio Manager and Senior Analyst, Tyndall AM provides his key take-outs from the August company reporting season. Weak consumer demand, a slowdown in China and a high Australian

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Reporting season: don’t let the numbers get in the way of a good story

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Too often investors take reporting season figures at their face value instead of looking deeper to see the real story, says Australian equities fund manager, Hyperion Asset Manager. As a

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Reporting season scrutinised for signs of value and stability

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As reporting season kicks off, investors will be watching for signs of value and earnings sustainability, as well as eying specific stocks and sectors and the broader economy, according to

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