Weekly Reports | Jul 04 2014
Our top ten news from 26 June 2014 to 03 July 2014 (ranked according to popularity).
Wednesday 02 July 2014 – 10:00 AM
In this week's Weekly Insights: – The Next Commodities Bull Market – The Flatline Recovery – ANZ Bank: Problems That Can Be Solved – National Australia Bank: In Need Of A Fix – Presentation at PhillipCapital in Sydney
Tuesday 01 July 2014 – 10:22 AM
Michael Gable of Fairmont Equities notes Telstra has a history of rising ahead of its dividend announcement and offers technical upside.
Tuesday 01 July 2014 – 10:00 AM
Brokers offer their outlooks for global and local stock markets over the financial year ahead, with increasing degrees of bullishness. 6000 by year-end?
Thursday 26 June 2014 – 04:53 PM
Traditional near-retirement investors are falling as a proportion of SMSF trustees as a younger demographic seeks to control its own investment destiny, CoreData has found.
Monday 30 June 2014 – 10:43 AM
Weekly update on recommendation, target price, and earnings forecast changes.
Thursday 26 June 2014 – 12:40 PM
Collins Foods reveals growth in the KFC franchise was offset by declines in the Sizzler chain in FY14.
Monday 30 June 2014 – 10:00 AM
Nick Linton-Ffrost of Fifth Wave examines the up and downside trigger levels for the ASX 200 this week.
Monday 30 June 2014 – 11:35 AM
FNArena Editor Rudi Filapek-Vandyck explains industrials have significantly outperformed resources stocks since 2009. He sticks to his preference for the former.
Friday 27 June 2014 – 10:04 AM
Australian domestic tourism is soggy, TV advertising is subdued, retailing is disappointing, and credit growth is soft but there has been a bump up in gold prices.
Wednesday 02 July 2014 – 10:28 AM
Even Peter Switzer of the Switzer Super Report, an ardent bull, is becoming concerned with the exuberance of some US economic forecasts.

