Weekly Reports | Jun 13 2014
Our top ten news from 05 June 2014 to 12 June 2014 (ranked according to popularity).
Tuesday 10 June 2014 – 12:22 PM
A slight uptick in the spot uranium price last week after a month of sideways drift may offer some hope for the industry.
Friday 06 June 2014 – 10:52 AM
Citi believes value can still be found in miners; Oz iron ore miners face higher break-even prices; natural gas and gold outlooks and risk in nickel.
Tuesday 10 June 2014 – 03:20 PM
Michael Gable of Fairmont Equities weighs up the technicals for QBE Insurance.
Friday 06 June 2014 – 10:00 AM
Tax loss selling; asset managers and banks; M&A and asset divestment; Optus' mobile plans; and the outlook for retailers.
Wednesday 11 June 2014 – 10:00 AM
Peter Switzer of the Switzer Super Report argues against an imminent correction in stock markets.
Tuesday 10 June 2014 – 11:50 AM
Weekly update on recommendation, target price, and earnings forecast changes.
Tuesday 10 June 2014 – 10:33 AM
Nick Linton-Ffrost of Fifth Wave suggests a short-term trading idea in Commonwealth Bank.
Thursday 05 June 2014 – 01:53 PM
Analysts argue their views on whether the gold price will go up in the medium term, or down.
Thursday 05 June 2014 – 11:14 AM
FNArena's weekly update on short positions in the Australian share market.
Wednesday 11 June 2014 – 01:20 PM
Australia's major broking houses are beginning to diverge on their equity market views, with a shift to the defensive becoming more popular.

