Investment U’s Alexander Green sees little point in owning government bonds at present given little upside potential and significant downside risk.
Uranium spot prices slipped again last week, although speculative talk of eventual increases in demand and higher prices continue to intensify.
GFT Market Strategist Andrew Taylor remains wary while risk assets are rallying.
Investment U offers some advice for traders on how to avoid big losses in the stock market.
Weekly update on recommendation, target price, and earnings forecast changes.
This week’s Tweets on Twitter by Your Editor.
GFT Market Strategist Andrew Taylor remains sceptical about what the ECB might announce next and whether financial markets will rise post the event.
Barclays Capital’s analysis of monthly seasonal trends shows equities tend to struggle in August, commodities are mixed and the yen, US dollar and bonds perform better.
Forex.com’s Chris Tedder explains today’s session was marked by disappointing PMI data from China, but nothing has changed from a fundamental viewpoint.
Update on share prices and consensus price targets. Today, are the banks signalling the market is getting ahead of itself?