Quarterly Outlook
Macro Outlook: The US rate cut cycle has begun
Peter Garnry
Chief Investment Strategist
Market Strategist
Summary: Gold and silver are expected to hit new highs, so too is oil. Inversely, Australian and US equities are a risk of further pull backs. Here is what to watch. Plus the stocks that are shooting the lights out, and those that are weak at the knees. Plus why consider a position in soft commodities, and why you shouldn’t ignore iron ore and the commodity kings.
Co-written by Market Strategists Jessica Amir in Australia and Redmond Wong in Hong Kong.
What’s happening in markets?
What to consider?
Trading ideas
Energy, mining and materials stocks may serve investors well as hedge, amid the worsening inflationary pressures from the energy crisis and rising commodity prices.
For protection from further pull backs, click here for ideas.
Company earnings calendar
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