Weekly Reports | Feb 11 2022
Our top ten news from 03 February 2022 to 10 February 2022 (ranked according to popularity).
1 – Australian Broker Call *Extra* Edition – Feb 03, 2022
Thursday 03 February 2022
Extra Edition of the Broker Call Report
2 – Uranium Week: Clean And Green
Tuesday 08 February 2022
The European Commission has decided nuclear is a "green" transition energy
3 – Weekly Ratings, Targets, Forecast Changes – 04-02-22
Monday 07 February 2022
Weekly update on stockbroker recommendation, target price, and earnings forecast changes
4 – Australian Broker Call *Extra* Edition – Feb 08, 2022
Tuesday 08 February 2022
Extra Edition of the Broker Call Report
5 – January In Review: Interest Rates Weigh On Growth Stocks
Monday 07 February 2022
Losses in the information technology and healthcare sectors outweighed energy gains leading to a -6.4% total decline for the ASX200 in January, as the spectre of rising interest rates increased volatility
6 – Rudi's View: February Looks Tricky
Thursday 03 February 2022
In this week's Weekly Insights:-February Looks Tricky-Conviction Calls-FNArena TalksFebruary Looks TrickyBy Rudi Filapek-Vandyck, Editor FNArena2022 is already shaping up as a much more volatile and challenging year for investors, and we're still only at the beginning!Geo
7 – Material Matters: Potential WA Supply Shock, Oil, Natural Gas, Copper & Nickel
Thursday 03 February 2022
A glance through the latest expert views and predictions about commodities: potential supply shock in WA; oil, natural gas, copper & nickel
8 – The Short Report – 03 Feb 2022
Thursday 03 February 2022
FNArena's weekly update on short positions in the Australian share market
9 – Australian Listed Real Estate Tables – 07-02-2022
Monday 07 February 2022
FNArena provides a weekly update of Australian listed real estate trusts (REIT) and property developers, current pricing yield and valuation data
10 – In The Year Of The Tiger, Will Emerging Markets Roar?
Wednesday 09 February 2022
Emerging Markets equities look cheap in comparison with developed economies, but investment experts are opting for specific strategies and exposures to manage risk in 2022