210. Market Wrap
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À propos de cet audio
Welcome back to another episode of the 360 Money Matters Podcast!
In this episode, we cut through the noise to explain what's really driving global investment markets. We break down why US markets surged 3.2% despite mixed signals, what inflation trends mean for your money, and why Australian rate cuts aren't coming anytime soon. You'll understand the disconnect between strong corporate earnings and economic uncertainty, plus discover what China's growth and rare earth deals mean for Australian investors.
Tune in to get the clarity you need to make smarter investment decisions.
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This podcast contains information that is general in nature. It does not take into account the objectives, financial situation, or needs of any particular person. You need to consider your financial situation and needs before making any decisions based on this information. This information is provided by Billy Amiridis & Andrew Nicolaou of 360 Financial Strategists Pty Ltd, authorized representatives and credit representatives of Akumin Financial Planning – AFSL 232706
Episode Highlights
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US market rally: Why the S&P 500 gained 3.2% despite mixed signals
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Inflation trends and Fed rate cut expectations
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Australian interest rates: Why cuts are off the table
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Property market surge and FOMO factors
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China's GDP growth and the $8.5B rare earths deal
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Gold's 57% gain and commodity market volatility
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