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End of Day Report – Wednesday 15 May: Retail Winners From Budget | US CPI Awaits

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Manage episode 418344591 series 2991632
Marcus Today에서 제공하는 콘텐츠입니다. 에피소드, 그래픽, 팟캐스트 설명을 포함한 모든 팟캐스트 콘텐츠는 Marcus Today 또는 해당 팟캐스트 플랫폼 파트너가 직접 업로드하고 제공합니다. 누군가가 귀하의 허락 없이 귀하의 저작물을 사용하고 있다고 생각되는 경우 여기에 설명된 절차를 따르실 수 있습니다 https://ko.player.fm/legal.

ASX 200 finishes up 27 points to 7754 (+0.4%), basking in a warm post-budget glow. The main driver of the advance was retail stocks and BHP, which was buoyed by talk it may just walk from Anglo discussions. Up 2.2%. Some budget winners in focus today, with some of the critical metal stocks finding some friends, although gains were muted in the end. Gold miners slightly better, with NST up 0.4% and PRU up 2.2%. Lithium stocks took the cue from better prices overseas, PLS up 0.3% and LTR rising 1.5%. Oil and gas stocks eased as oil prices fell. Banks were slightly easier, with the Big Bank Basket down to $207.72 (-0.1%). ANZ the big faller down 1.2%. MQG also in trouble off 1.0%, with ASX off 1.4% on a broker downgrade. REITs better across the spectrum, SCG up 1.6% and SGP up 2.4%. Industrials firmed, TLS having a good day up 0.6%, and informed me I had won a new phone. TCL slipped 1.8%, with healthcare mixed on budget news, RHC down 1.0%. Tech flat, retail better, PMV up 2.4% and JBH up 0.4%. In corporate news, STO announced 2000 job cuts, SXL rejected the ARN deal, and IRE sank 1.8% on data leak news. AAC dropped 1.4% after a challenging year, and CSR's aluminium operations sharply fell to an annual loss of $29m. In economic news, wage growth slowed to 0.8%. Asian markets mixed again, with Japan unchanged, HK closed and China off 0.5%. 10Y yields steady at 4.324%. Dow Futures up 14 points. NASDAQ Futures down 8 points.
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1396 에피소드

Artwork
icon공유
 
Manage episode 418344591 series 2991632
Marcus Today에서 제공하는 콘텐츠입니다. 에피소드, 그래픽, 팟캐스트 설명을 포함한 모든 팟캐스트 콘텐츠는 Marcus Today 또는 해당 팟캐스트 플랫폼 파트너가 직접 업로드하고 제공합니다. 누군가가 귀하의 허락 없이 귀하의 저작물을 사용하고 있다고 생각되는 경우 여기에 설명된 절차를 따르실 수 있습니다 https://ko.player.fm/legal.

ASX 200 finishes up 27 points to 7754 (+0.4%), basking in a warm post-budget glow. The main driver of the advance was retail stocks and BHP, which was buoyed by talk it may just walk from Anglo discussions. Up 2.2%. Some budget winners in focus today, with some of the critical metal stocks finding some friends, although gains were muted in the end. Gold miners slightly better, with NST up 0.4% and PRU up 2.2%. Lithium stocks took the cue from better prices overseas, PLS up 0.3% and LTR rising 1.5%. Oil and gas stocks eased as oil prices fell. Banks were slightly easier, with the Big Bank Basket down to $207.72 (-0.1%). ANZ the big faller down 1.2%. MQG also in trouble off 1.0%, with ASX off 1.4% on a broker downgrade. REITs better across the spectrum, SCG up 1.6% and SGP up 2.4%. Industrials firmed, TLS having a good day up 0.6%, and informed me I had won a new phone. TCL slipped 1.8%, with healthcare mixed on budget news, RHC down 1.0%. Tech flat, retail better, PMV up 2.4% and JBH up 0.4%. In corporate news, STO announced 2000 job cuts, SXL rejected the ARN deal, and IRE sank 1.8% on data leak news. AAC dropped 1.4% after a challenging year, and CSR's aluminium operations sharply fell to an annual loss of $29m. In economic news, wage growth slowed to 0.8%. Asian markets mixed again, with Japan unchanged, HK closed and China off 0.5%. 10Y yields steady at 4.324%. Dow Futures up 14 points. NASDAQ Futures down 8 points.
Why not sign up for a free trial? Get access to expert market insights and manage your investments with confidence.
Ready to invest in yourself?
Join the Marcus Today community.

  continue reading

1396 에피소드

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