Weekly Reports | Jul 10 2020
Our top ten news from 02 July 2020 to 09 July 2020 (ranked according to popularity).
Thursday 02 July 2020 – 10:00 AM
Lessons Learned From 5.5 Years All-Weather PortfolioBy Rudi Filapek-Vandyck, Editor FNArenaExcluding any unforeseen calamities with the June 30 finish line in sight, the FNArena-Vested Equities All-Weather Model Portfolio should finish financial year 2020 with a positive r
Friday 03 July 2020 – 10:00 AM
Weekly Broker Wrap: Lingering aftereffects of the pandemic; The merged TPG Corp to have strong growth prospects; Managing margins will define FY21 for supermarkets
Tuesday 07 July 2020 – 11:34 AM
Uranium prices continue to drift lower on lack of utility interest while the virus continues to add extra uncertainty
Friday 03 July 2020 – 11:14 AM
A glance through the latest expert views and predictions about commodities. A rebound in silver price led by investment demand; Electric vehicle battery demand to push up lithium prices; Copper markets to be in deficit by 2021
Thursday 02 July 2020 – 12:56 PM
Suncorp has signalled higher reinsurance costs have made it more economic to retain risk on the balance sheet. Brokers are wary of this, given the number of headwinds confronting insurers.
Wednesday 08 July 2020 – 10:54 AM
Peter Switzer of the Switzer Report revisits 28 stocks showing upside potential at the March bottom.
Wednesday 08 July 2020 – 10:34 AM
A glance through the latest expert views and predictions about commodities. Downside risks for Aussie gold producers in FY21 on account of higher costs; no takers for thermal and met coal; Iron ore demand to see a material boost from rising steel output in China
Monday 06 July 2020 – 10:00 AM
Weekly update on stockbroker recommendation, target price, and earnings forecast changes.
Monday 06 July 2020 – 10:57 AM
The New Criterion's Tim Boreham assesses the issues facing producers of lithium, graphite and cobalt, highlighting two small Australian miners.
Wednesday 08 July 2020 – 12:47 PM
Extra Edition of the Broker Call Report