Weekly Market Update

Andrew Hunt’s Australian Visit Wrap Up

March 22, 2024
Following a week filled with insightful discussions, Jonathan Ramsay, Jonathan Tolub, and visiting UK economist Andrew Hunt sit down to highlight the critical economic indicators everyone should monitor.

They dive into the "knife edge" of the U.S. economy, currently perched precariously between inflation and deflation. They underline the critical role of fiscal stimulus, central bank actions, and forthcoming economic data in determining the direction of the economy.

They note global parallels in issues like housing affordability. They dig into how productivity improvements (potentially aided by AI) and how allowing real wages to rise could help restore economic equilibrium. However, hoping for a productivity miracle is unwise.

The conversation shifts to strategies for navigating inflation versus deflation scenarios. They discuss the advantage of active stock-picking over broad indexing due to expected differential impacts across sectors and companies. Lastly, they examine the less regulated private debt markets as an area warranting further research to identify risks and opportunities.

Markets Navigate Geopolitical Tensions and Slowing Growth Signals

March 3, 2025
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Mind the gap(s): PCF 2025 Markets Summit Preview

February 25, 2025
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Australia Eases, U.S. Heats Up: The Week’s Market Movements

February 25, 2025
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Crypto Collateral: A Lifeline for the U.S. Economy or a Dangerous Gamble?

February 25, 2025
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Market’s sanguine reaction to Trump the deal maker

February 25, 2025
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A Trumpian Shadow Cast Over Markets: Implications for Australian Equities

February 4, 2025
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Central Banks Shake Markets: The Weekly Market Sense Check

January 30, 2025
This past week saw eventful moves in markets, largely driven by central bank actions. The most unexpected was the Swiss National Bank's decision to reduce rates, going against the broader trend. However, this did not have a major impact on markets overall.
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A flat market despite surprising inflation data

January 30, 2025
Despite a relatively calm week in global markets, the focus was on higher-than-expected inflation figures.
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Volatility, Fed Rate Signals and Global Growth Trends

January 30, 2025
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Markets bounce back after soft start to the week, inflation trends and a review of February's performance.

January 30, 2025
Global markets were relatively flat this week after an initial dip, recovering slightly towards the end of the week.
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Global Markets Navigate Mixed Signals: Earnings Surges, Inflation Divergences, and the Persistent Volatility Ahead

January 30, 2025
Global markets were mixed this week as investors digested the latest economic data and corporate earnings results.
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Unpacking a Volatile Week Amid Inflation Warnings and Surprising Strengths

January 30, 2025
Markets gyrated last week as hotter-than-expected US inflation data sparked an initial tech rout before recovering. Meanwhile better-than-feared earnings results and recession-resilient emerging markets outperformed.
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