The US election is only a month away. What are the potential consequences?
Market Outlook Q&A
Trade deal or handshake?
Trade War: Markets reeling
And it's on!
What does a swing to the left mean for investors?
The Rough with the Smooth
Shares making a comeback. But why?
Are shares too expensive?
Trumponomics
Is a US recession imminent?
Strong returns, but storm clouds gather...
Global Debt: Be alert, but not alarmed
As global interest rates bottom, concerns about rising inflation and interest rates, quite naturally, come to the fore, particularly in a time where global debt (country, corporate and personal debt) are an all time high. So as investors, retirees and superannuation members, how concerned should we be? AMP’s Dr Shane Oliver gives 7 reasons to be alert, but not alarmed…
Is China ok?
'Quitaly' spooking the markets
Is An 'Itexit' Really On The Cards?
Trump & Trade War Risks
After the calm of 2017, 2018 is proving to be anything but with shares falling in February on worries about US inflation, only to rebound and then fall again with markets back to or below their February low, notwithstanding a nice US bounce overnight. So what’s driving the weakness and what should investors do?