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İçerik Marcus Today tarafından sağlanmıştır. Bölümler, grafikler ve podcast açıklamaları dahil tüm podcast içeriği doğrudan Marcus Today veya podcast platform ortağı tarafından yüklenir ve sağlanır. Birinin telif hakkıyla korunan çalışmanızı izniniz olmadan kullandığını düşünüyorsanız burada https://tr.player.fm/legal özetlenen süreci takip edebilirsiniz.
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Marcus Today End of Day Podcast – Friday 3rd March

13:37
 
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Manage episode 356874946 series 2991632
İçerik Marcus Today tarafından sağlanmıştır. Bölümler, grafikler ve podcast açıklamaları dahil tüm podcast içeriği doğrudan Marcus Today veya podcast platform ortağı tarafından yüklenir ve sağlanır. Birinin telif hakkıyla korunan çalışmanızı izniniz olmadan kullandığını düşünüyorsanız burada https://tr.player.fm/legal özetlenen süreci takip edebilirsiniz.

ASX 200 finished the week on a solid note up 28 points to 7284 (+0.4%) as both banks and resources rallied. Fourth week of losses though. The Big Bank Basket rose to $172.48 (+0.7%). CBA bounced 0.7% and NAB in demand up 1.1%. MQG a more modest 0.3% with insurers easier and fund managers mixed. MFG up 1.1% and PTM down 0.8%. Industrials were better with REITs losing some ground as 10-year yields hit 3.9%, Tech up slightly with WTC up 0.7% and XRO up 0.5%. Healthcare better CSL up 0.4% and RMD doing well up 1.5%. Staples better and TLS doing well up 1.2%. In the resources, BHP continues higher, up 0.6%, RIO up 1.6% and FMG missing the memo down 1.3%. Gold miners eased and rare earths under pressure following the Tesla day and their new motors being rare earth free. Lithium stocks a little mixed, PLS up 2.5% recovering after div and IGO down 0.4%. Oil and gas better, WDS up 0.5% and STO up 1.3%. In corporate news, not much, DOW chair has thrown in the towel, QAN announced it wanted to hire back all the pilots and engineers it lost in Covid. Down 0.3% after news. In economic news, first-home buyer loans hit the lowest level since February 2017. Asian markets better, Japan up 1.2%, China up 0.3% and HK up 0.8%. Dow futures down 23 points. NASDAQ futures down 26 points.
Why not sign up for a free trial? Get access to expert insights and research and become a better investor.

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1330 bölüm

Artwork
iconPaylaş
 
Manage episode 356874946 series 2991632
İçerik Marcus Today tarafından sağlanmıştır. Bölümler, grafikler ve podcast açıklamaları dahil tüm podcast içeriği doğrudan Marcus Today veya podcast platform ortağı tarafından yüklenir ve sağlanır. Birinin telif hakkıyla korunan çalışmanızı izniniz olmadan kullandığını düşünüyorsanız burada https://tr.player.fm/legal özetlenen süreci takip edebilirsiniz.

ASX 200 finished the week on a solid note up 28 points to 7284 (+0.4%) as both banks and resources rallied. Fourth week of losses though. The Big Bank Basket rose to $172.48 (+0.7%). CBA bounced 0.7% and NAB in demand up 1.1%. MQG a more modest 0.3% with insurers easier and fund managers mixed. MFG up 1.1% and PTM down 0.8%. Industrials were better with REITs losing some ground as 10-year yields hit 3.9%, Tech up slightly with WTC up 0.7% and XRO up 0.5%. Healthcare better CSL up 0.4% and RMD doing well up 1.5%. Staples better and TLS doing well up 1.2%. In the resources, BHP continues higher, up 0.6%, RIO up 1.6% and FMG missing the memo down 1.3%. Gold miners eased and rare earths under pressure following the Tesla day and their new motors being rare earth free. Lithium stocks a little mixed, PLS up 2.5% recovering after div and IGO down 0.4%. Oil and gas better, WDS up 0.5% and STO up 1.3%. In corporate news, not much, DOW chair has thrown in the towel, QAN announced it wanted to hire back all the pilots and engineers it lost in Covid. Down 0.3% after news. In economic news, first-home buyer loans hit the lowest level since February 2017. Asian markets better, Japan up 1.2%, China up 0.3% and HK up 0.8%. Dow futures down 23 points. NASDAQ futures down 26 points.
Why not sign up for a free trial? Get access to expert insights and research and become a better investor.

  continue reading

1330 bölüm

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