Weekly Reports | Apr 11 2014
Our top ten news from 03 April 2014 to 10 April 2014 (ranked according to popularity).
Friday 04 April 2014 – 10:04 AM
Myer/DJs merger numbers not shaping up, Oz business confidence and credit, Oz household consumption, Oil Search and Taza, and the euro's robust rally.
Thursday 03 April 2014 – 12:53 PM
Roc Oil has increased its presence and credibility in Malaysia, farming in to three producing oil fields.
Tuesday 08 April 2014 – 11:15 AM
Concern over potential global enriched uranium supply constraints from Russia has hurried up utility demand but the current supply overhang means ongoing price weakness.
Monday 07 April 2014 – 10:14 AM
Weekly update on recommendation, target price, and earnings forecast changes.
Thursday 03 April 2014 – 10:01 AM
Demand for mineral sands improves, worst not yet over for copper, Grasberg's copper future and the slippery slope for coal prices.
Tuesday 08 April 2014 – 10:43 AM
Michael Gable of Fairmont Equities sees local opportunities provided by Wall Street weakness. JB Hi-Fi has broken to the upside.
Monday 07 April 2014 – 10:51 AM
Brokers are impressed with the progress and outlook for Lend Lease's major development projects.
Monday 07 April 2014 – 10:00 AM
Nick Linton-Ffrost of Fifth Wave suggests a short-term trading idea the ASX 200.
Thursday 03 April 2014 – 10:16 AM
Conservative investors have stepped up their share market investments while risk-tolerant investors have backed off into 2014. ETF sponsors have launched more products to suit the conservative approach for ease of portfolio management.
Tuesday 08 April 2014 – 10:20 AM
The FNArena Editor explains why iron ore is now in a downtrend and why investors should pay attention.

