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More Policy Response Needed, Globally

Jul 12 2012

Investment Manager Standard Life Investments notes global issues continue to affect risk asset returns and suggests a greater policy response is needed.


FOMC Opportunity

Jul 11 2012

GFT Market Strategist Andrew Taylor believes financial assets might stage an upswing once the FOMC Minutes have been released later today.


The Global Shift To Fixed Income Investment

Jul 11 2012

Statistics provided by BlackRock show global inflows into exchange traded funds (ETF) hit record levels in the first half of 2012, with fixed income products attracting the greatest percentage.


Libor Pains

Jul 11 2012

PFP Wealth Management’s Tim Price suggests low interest rates have not helped the health of British banks but some alternatives are now emerging in the sector.


Uranium Continues To Frustrate

Jul 11 2012

Despite a long list of factors in its favour, uranium continued to frustrate its fans last week.


The Short Report

Jul 10 2012

FNArena’s weekly update on short positions in the Australian share market.


A Week To Watch The Euro

Jul 10 2012

ATW’s Jerry Simmons takes a new look at the EUR/USD, pointing out there are signals for both support and pressure.


Why Do Most Traders Lose Money?

Jul 09 2012

Market analysts at FXCM suggest poor risk management is why most traders lose money and offer some advice for dealing with the issue.


Top Ten Weekly Recommendation, Target Price, Earnings Forecast Changes

Jul 09 2012

Weekly update on recommendation, target price, and earnings forecast changes.


Investors Send A Clear Message To Central Banks – More Action Is Required

Jul 06 2012

Central banks are still not doing enough to prop up investor confidence, argues Forex.com’s Chris Tedder.



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