Weekly Reports | Sep 13 2013
Our top ten news from 05 September 2013 to 12 September 2013 (ranked according to popularity).
Wednesday 11 September 2013 – 02:48 PM
A uranium deficit until 2015? Chinese trade figures and steel stocks. Australian resource stock risks.
Tuesday 10 September 2013 – 10:02 AM
The US long weekend and the upcoming annual industry conference meant for a quieter but more stable spot uranium market last week.
Monday 09 September 2013 – 10:00 AM
Weekly update on recommendation, target price, and earnings forecast changes.
Wednesday 11 September 2013 – 12:46 PM
Brokers select some key stocks to watch in the small industrial and emerging company sectors for FY14.
Friday 06 September 2013 – 10:00 AM
The outlook for Aust healthcare stocks is attractive, building and retail are mixed while gaming and transport are subdued.
Tuesday 10 September 2013 – 02:51 PM
Brokers take a look at what will matter when picking mining stocks in the months ahead.
Tuesday 10 September 2013 – 01:11 PM
The federal election is over and there will be a new government. Brokers take a look at what this could mean for listed stocks.
Wednesday 11 September 2013 – 11:11 AM
Peter Switzer of the Switzer Super Report explains why he, and Gerry Harvey, are optimistic post-election.
Monday 09 September 2013 – 11:41 AM
The future of thermal coal. Mineral sands and commodity price weakness – when will it turn?
Tuesday 10 September 2013 – 11:08 AM
Michael Gable of Fairmont Equities suggests high beta stock Macquaurie Group is set for a technical break-up.

