December 2015
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31-12-2015 |
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Stock markets mostly ease at year end 2015, US 10-Yr 2.269%, VIX 18.27, Dollar Index firm at 98.70, commodities steady, led by cocoa, sugar & bottoming metals & oil |
14:48min Back to top |
30-12-2015 |
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Stock markets mostly decline in line with crude oil retracing most of yesterday's gains, US 10-Yr 2.29%, VIX 17.29, DXY edges higher within range, PMs weaken |
12:25min Back to top |
29-12-2015 |
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Stock markets mostly firmer, esp in Europe & USA, US 10Yr 2.30%, VIX 16.08, USD steady, GBP easier, commodities mostly firmer |
12:56min Back to top |
28-12-2015 |
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stock markets steady, oil weak, silver slumps, natural gas surges |
7.54mins Back to top |
24-12-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
36.22mins Back to top |
23-12-2015 |
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Stock markets rally for the third day, mining shares and oil majors score best gains, US 10-Yr 2.25, VIX 15.57, DXY 98.36, upward dynamics in crude oil, metals mostly firm |
9:40min Back to top |
22-12-2015 |
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Stock markets mixed to quietly steady, correcting O/S conditions, US 10-Yr 2.23%, VIX 16.6, Dollar Index eases 98.2, weak resources remain a concern |
11:42 Back to top |
21-12-2015 |
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China leads most Asia-P stk mkts higher, European indices weaker, Wall St firms at close, US 10-Yr 2.19%, VIX 18.84, DXY 98.445, metals firmer, oil & softs mostly decline |
16:38min Back to top |
18-12-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
23:49min Back to top |
17-12-2015 |
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Stock markets strong except for USA, where Dollar Index surge sparks concerns and hits commodity prices, US 10-Yr 2.2%, VIX 18.94, metals & crude weak |
10:43min Back to top |
16-12-2015 |
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Stock markets firm for third day, correcting O/S, Wall St firm in Fed hike & statement, US 10-Yr 2.29%, VIX 17.86, precious metals firm, crude oil weak |
17:47min Back to top |
15-12-2015 |
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Stock markets mostly firmer, best gains in very O/S Europe, US 10-Yr 2.26%, VIX 20.95, Dollar Index 98.22,O/S precious metals steady, indu weaker, oil firmer |
12:43min Back to top |
14-12-2015 |
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China, India firmer in Asia-P, Wall St ends near day's highs for a change from last week, US 10-Yr 2.22%, VIX 22.23 after being over 26, commodities mostly weak |
8:53mins Back to top |
11-12-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities, but this evening, mostly a discussion of market concerns |
27:13min Back to top |
10-12-2015 |
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Stock markets remain nervous ahead of US rate hike and other concerns, US 10-Yr 2.23%, VIX 19.34, DXY firmer, Chinese renminbi weak, climactic selling in crude oil |
13:23min Back to top |
09-12-2015 |
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Stock markets nervous & still correcting short-term O/B, US 10-Yr 2.216%, VIX 19.61, DXY slides to 97.38 (intervention?), EUR 1.10, GBP 1.518, resources O/S |
18:01min Back to top |
08-12-2015 |
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Stock markets weak, becoming short-term oversold, US 10-Yr 2.218%, VIX 17.60, DXY eases, Euro steady on short covering, WTI slightly steadier, Brent dips again |
9:33min Back to top |
07-12-2015 |
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Stock markets mixed in choppy, somewhat nervous conditions, US 10-Yr 2.22%, VIX 15.84, Dollar Index 98.65, EUR 1.083, crude oil slumps, PMs & most indu metals ease |
19:53min Back to top |
04-12-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
36.26mins Back to top |
03-12-2015 |
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'All change' day in nervous Europe affecting USA, with some sharp selling, mainland China steady, US 10-yr surge to 2.32%, VIX 18:11, commodities rally on short covering |
19:58min Back to top |
02-12-2015 |
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Stock markets mostly ease, not least O/B Wall St, China firmer, US 10-Yr2.179%, VIX 15.91, USD firm, metals & crude oil weak |
12:54min Back to top |
01-12-2015 |
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Stock markets mostly firm in Asia Pacific, easier in Europe stronger in Americas on tempering of rate expectations, USD eases, US 10-Yr 2.14%, VIX 14.67, resources steady |
9:41min Back to top |
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November 2015
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30-11-2015 |
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Stock markets mostly ease against background of short-term O/B stochastic indicators, US 10-Yr 2.206%, VIX 16.13, Dollar Index 100.200, resources mostly weak |
15:32min Back to top |
27-11-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
34:53min Back to top |
27-11-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
34:53min Back to top |
26-11-2015 |
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Stock markets mostly steady, China loses early gains, European markets firm, US mostly closed but commodities where trading mostly steady, crude oil excepted |
11:59min Back to top |
25-11-2015 |
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Stock markets quiet although Europe recovers Tuesday's losses on Russia-Turkey incident, US 10-Yr 2.23%, VIX 15.19, DXY testing range highs, CCI edges higher |
10:26min Back to top |
24-11-2015 |
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Stock markets mixed in Asia-P, weak in Europe on Russia-Turkey incident, US marginally firmer, US 10-Yr 2.237%, VIX 15.93, indu commodities firm for a change |
10:54min Back to top |
23-11-2015 |
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Stock markets mostly pause as short-term O/B, watch mid-Nov lows, US 10-Yr 2.237%, VIX 15.62, crude oil up on supply cuts comment, PMs & indu metals lower |
21:46min Back to top |
20-11-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
30.24mins Back to top |
19-11-2015 |
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Stock markets firm but Wall St rally pauses, US 10-Yr 2.248%, VIX 16.99, Dollar Index backs away from range highs, O/S commodities losing downside momentum |
9:01min Back to top |
18-11-2015 |
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The Wall Street Show, dominating upside performance, elsewhere, Asia-P & Europe mostly easier, US 10-Yr 2.27%, VIX 16.85, DXY eases resources slip |
12:44min Back to top |
17-11-2015 |
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O/S stock markets mostly firmer in Asia-P, China mainland excepted, strong in Europe, USA loses day's earlier gains, US 10-Yr 2.26%, VIX 18.84, commodities O/S but weak |
17:07min Back to top |
16-11-2015 |
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Stock markets mostly soft in Asia-P, China A & India excepted, Europe pares losses, Wall Street strong & O/S, US 10-Yr 2.0685%, VIX 18.16, PMs & crude oil firmer |
13:22min Back to top |
13-11-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
35:37min Back to top |
12-11-2015 |
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Stock markets mixed in Asia, Hong Kong strong, Europe & Americas sharply lower correcting O/B reading, US 10-Yr 2.31%, VIX18.37, DXY 98.65, crude oil weak |
10:32min Back to top |
11-11-2015 |
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Dollar pauses, Wall Street eases, Europe steady, commodities trading on their individual merits |
9.23mins Back to top |
10-11-2015 |
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Stock markets mostly weak in Asia Pacific but slightly steadier in Europe & USA, US 10-Yr 2.34%, VIX 15.29, industrial commodities weak but O/S, softs a bit firmer |
15:51min Back to top |
09-11-2015 |
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stock markets ease, Japan firm, precious metals weak, bonds weak, oil steady |
14.44mins Back to top |
06-11-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies and commodities |
28:15min Back to top |
05-11-2015 |
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Stock markets mixed as Wall St led rallies losing momentum in consolidation, medium-term outlook bullish, US 10-Yr 2.23% VIX 15.05, DXY firm, resources weaken |
15:14min Back to top |
04-11-2015 |
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China leads most stock markets higher, Wall St pausing near year's highs, Dollar Index strengthens in range US 10-Yr 2.22%, VIX firmer 15.51, precious metals & crude oil weak |
13:07min Back to top |
03-11-2015 |
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Stock markets mostly steady, despite short-term O/B, US 10-Yr 2.21%, VIX 14.54, DXY in middle of trading range, crude oil & copper firm, PMs becoming oversold |
11:23min Back to top |
02-11-2015 |
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Stocks mostly weaker in Asia Pacific but firmer in Europe & Wall Street with Nasdaq 100 at a new high for 2015, US 10-Yr 2.18%, VIX 14.17, metals & crude oil weak |
14:31min Back to top |
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October 2015
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30-10-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
30:42min Back to top |
29-10-2015 |
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Stock markets mostly slightly easier after yesterday's strong gains in Europe & USA, US 10-Yr 2.17%, VIX 14.61, DXY eases, metals weak, PMs reversing Wed gains |
10:10min Back to top |
28-10-2015 |
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Asian stock markets soft, Japan excepted, good gains in Europe & Americas, NDX back to its highs US10-Yr 2.10%, VIX 14.33, DXY strong, crude oil firm, CCI steadies |
12:59min Back to top |
27-10-2015 |
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Stock markets ease, China excepted, Apple discussed, US 10-Yr 2.037%, VIX 15.43, Dollar Index steady @ 96.889, crude oi & CCIl easing on excess supply |
17:10min Back to top |
26-10-2015 |
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Quiet day, stock markets mixed as short-term O/B after good rallies this month, US 10-Yr 2.056%, VIX 15.29, USD eases, as did crude oi & metals, white sugar firm |
9:42min Back to top |
23-10-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
34.01mins Back to top |
22-10-2015 |
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European & US stock markets surge following Mario Draghi's comments, US 10-Yr 2.026%, VIX 14.45, DXY surges, Euro weakens, indu commodities steady |
18:13min Back to top |
21-10-2015 |
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Stock markets mostly quiet after this month's rally, Japan firm, China retraces yesterday's gains, US dips as O/B near 200-day MAs for DJIA, SPX & CCMP, PMs & crude oil down |
8:04min Back to top |
20-10-2015 |
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Stock markets quiet, mixed & holding gains, mainland China up over 1%, US 10-Yr firms 2.068%, VIX 15.59, currencies quiet, CCI slightly higher |
8:43min Back to top |
19-10-2015 |
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Stock markets quiet but mostly with modest gains on the day, US 10-Yr 2.02%, VIX 14.98, DXY slightly firmer within range at 94.92, crude oil, PMs & indu metals ease |
8:12min Back to top |
16-10-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
31:29min Back to top |
15-10-2015 |
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Stock markets firm, US extending rally, US 10-yr 2.019%, VIX 16.05, DXY firms at lower side of range,commodities mostly steady, oil reverses early losses |
16:41min Back to top |
14-10-2015 |
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Dollar eases, Euro, Yen firm, precious metals steady, stock markets unwinding short-term overbought conditions, bonds firm. |
12.46mins Back to top |
13-10-2015 |
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Stock markets weaken from short-term overbought conditions, DXY eases, US 10-Yr 2.04%. VIX 17.58, soybeans lead staple grains higher, indu metals ease |
18:29min Back to top |
12-10-2015 |
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China & Japan firm, US steady, Europe eases, Oil weak, platinum continues to unwind its oversold condition |
12:25mins Back to top |
09-10-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
36.04mins Back to top |
08-10-2015 |
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Stock mkts mixed, with some profit taking, China A strong on reopening, Wall Street firm, US 10-Yr 2.1%, VIX 17.42, DXY 95.276, crude oi & CCI extend rallies |
13:27min Back to top |
07-10-2015 |
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Stock markets firm, esp Hong Kong indices, US 10-Yr 2.068%, VIX 18.40, DXY 95.59, commodity & other EM currencies firm on short covering, |
14:17min Back to top |
06-10-2015 |
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Stock markets mostly firm in Asia P & Europe, Wall St eases slightly, sector rotation discussed, US 10-Yr 2.03%, VIX 19.4, DXY weaker, Crude oil firm, also PMs & CCI |
17:54min Back to top |
05-10-2015 |
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Strong gains for stock markets, US 10-Yr 2.056%, VIX 19.54, DXY 96.03, commodity currencies show short covering & loss of downside momentum, CCI, crude oil steady |
20:57min Back to top |
02-10-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
37:08min Back to top |
01-10-2015 |
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Stk mkts firm in Asia P, mostly lower in Europe, Wall St recovers from sharp early losses, US 10-Yr 2.036%, VIX 22.55, DXY eases, palladium & white sugar firmer, CCI dips |
12:06min Back to top |
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September 2015
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30-09-2015 |
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Stock markets bounce from region of August lows and deeply oversold short-term indicators at end of 3Q, US 10-Yr 2.04%, VIX 24.5, USD steady, PMs weak, copper firms |
13:49min Back to top |
29-09-2015 |
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Japan, China weak, India firmer on rate cut, Europe eases, Wall St & oversold Americas mkts slightly firmer, US 10-Y4 2.05%, VIX 26.83, DXY eases, CCI slightly steadier |
12:28min Back to top |
28-09-2015 |
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VIX rallies, Stocks weak, Biotech extends decline, bonds firm, precious metals weak, Euro and Yen steady |
13:48mins Back to top |
25-09-2015 |
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Big picture, long-term outlook for global stock markets, government bonds, currencies and commodities |
31:17min Back to top |
24-09-2015 |
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Japan stocks weak, others mixed in Asia P, Europe weak on migrant surge & chaos, plus VW scandal, US pares losses, US 10-Yr 2.126%, VIX 23.47, DXY firm, PMs rally |
13:06min Back to top |
23-09-2015 |
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FTSE-100 firms from the region of August low, so do the H-Shares, Wall Street quiet, palladium surges, oil weak, Emerging market and commodity currencies deteriorate further |
13.06mins Back to top |
22-09-2015 |
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China region steadies with Xi Jinping in USA, India & other Asian mkts lower, Europe roiled by VW emissions fraud, US off day's lows, commodities weak |
11:59min Back to top |
21-09-2015 |
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Asian P stock markets mostly ease, mainland China excepted, Europe steady, US firms, US 10-Yr 2.197%, VIX 20.14, Dollar Index firms, EUR slips to 1.119, crude oil firms |
8:16min Back to top |
18-09-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
38:08min Back to top |
17-09-2015 |
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Fed holds rates, no hint of near-term increase, cites 2% inflation target, US 10-Yr dips to 2.19%, VIX 21.14, USD weakens, PMs firm, other commodities mostly ease |
16:25min Back to top |
16-09-2015 |
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China rebounds on support buying, triggering global rally, US 10-Yr 2.2958%, VIX 21.55, DXY eases ahead of Fed decision, crude oil & metals rally sharply |
15:42min Back to top |
15-09-2015 |
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Stock markets soft in Asia-P, firmer in Europe and mostly stronger on Wall St, US 10-Yr surge to 2.286%, VIX 22.54, palladium & platinum steady, indu metals ease |
11:51min Back to top |
14-09-2015 |
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Comments on the corrective cycle, short-term OB for many stock mkts but above 24/8 climactic lows, US 10-Yr 2.17%, VIX 24.19, crude oil drifting towards Aug lows |
19:31min Back to top |
11-09-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
36.15mins Back to top |
10-09-2015 |
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China's currency arbitrage closes, exporters to China feeling the pinch, Europe and Wall Street steady bonds flat, oil steady |
14.14mins Back to top |
09-09-2015 |
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Japan surges, China steady, Europe steady, Wall Street closed lower, oil weak, currency flat |
12:49min Back to top |
08-09-2015 |
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Stock markets bounce, commodities bounce, oil prices vary between contracts, euro steady |
10:52min Back to top |
07-09-2015 |
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oil weak, precious metals ease, Europe and Asia steady, Euro steady, Yen a little weaker |
7:16mins Back to top |
04-09-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
29.04mins Back to top |
03-09-2015 |
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Wall Street finishes flat, Europe bounces on a weak Euro, gold eases, bonds steady |
10:46mins Back to top |
02-09-2015 |
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Emerging market currencies under pressure, stock markets steady, Euro Yen steady, gold steady, platinum bounces |
10:40mins Back to top |
01-09-2015 |
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Euro, Yen, VIX signal a return to deleveraging, gold steady |
10:14min Back to top |
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August 2015
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31-08-2015 |
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stocks markets ease but modestly compared with last week, crude oil continues to rebound, VIX steady |
7.44mins Back to top |
28-08-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
36.04mins Back to top |
27-08-2015 |
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Oil rebounds following 8 consecutive weeks to the downside, Equities continues to rebound, Euro unwinding short-term overbought condition, |
13.03mins Back to top |
26-08-2015 |
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Relief rally appears to be underway, gold still unwinding overbought condition, China has yet to respond to stimulus and bonds yields continued to climb |
10.07mins Back to top |
25-08-2015 |
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Japan and China weak, commodities don't bounce, Australia and Europe bounce, Wall Street reverses an earlier advance to finish down on the day, emerging markets are the epicentre of risk |
10.24mins Back to top |
24-08-2015 |
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Chinese stock markets lead global markets lower. commodities reverse earlier bounces, bonds steady |
14.51mins Back to top |
21-08-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
26.41mins Back to top |
20-08-2015 |
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Equities Weak, oil weak, precious metals continue to bounce, China's revaluation of the Yuan, Australian banks |
11.49mins Back to top |
19-08-2015 |
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Stock markets mostly weak and somewhat oversold, US 10-Yr 2.12%, VIX 15.09, Dollar Index weakens within range, EUR firms, crude oil slumps again PMs firm on fear |
16:27min Back to top |
18-08-2015 |
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Stock markets mostly ease, led lower by sharp China A-share drop, US 10-Yr 2.219%, VIX 13.79, DXY edging higher, commodities mostly lower |
8:48min Back to top |
17-08-2015 |
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Japan steady, China mixed, rest of Asia soft, Europe slightly higher, Wall St steadies, too many shorts? US10-Yr 2.16%, VIX 13.02, oil & indu metals lower PMs steady |
10:34min Back to top |
14-08-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
30:12min Back to top |
13-08-2015 |
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Stock markets a little steadier in Asia Pacific & Europe, US barely changed & weaker elsewhere in Americas, US 10-Yr 2.185%, VIX 13.49, metals & crude oil, slightly easier |
9:20min Back to top |
12-08-2015 |
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Stock markets very weak but Wall Street recovers in the afternoon, US 10-Yr 2.146%, VIX 13.61, USD & CNY weaker, PMs firm in O/S rally, grains & beans weak |
14:41min Back to top |
11-08-2015 |
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Stock markets weak on China devaluation, esp Europe, US 10-Yr 2.139%, VIX 13.71, DXY steady, Asian P & resources currencies weakest, commodities mostly weaker |
15:32min Back to top |
10-08-2015 |
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Big, bullish day, led by China & commodities, Asia P mixed but Europe & Americas strong, USD eases, US 10-Yr 2.23%, VIX 12.19, oversold commodity prices surge |
15:02min Back to top |
07-08-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
32:42min Back to top |
06-08-2015 |
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Stock markets mostly ease, Japan & India excepted, US 10-Yr 2.22%, VIX higher at 13.77, DXY backs off 98 level but still too high in short term, commodities ease further |
12:12min Back to top |
06-08-2015 |
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Stock markets mostly ease, Japan & India excepted, US 10-Yr 2.22%, VIX higher at 13.77, DXY backs off 98 level but still too high in short term, commodities ease further |
12:12min Back to top |
05-08-2015 |
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Wall Street couldn't hold the earlier gain, Japan steady, Europe firm, commodities weak, commodity currencies continue to deteriorate. |
11.48mins Back to top |
04-08-2015 |
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Stock markets mostly easier, mainland China main exception, us 10-Yr 2.22%, VIX 12.81, DXY higher at 97.82, commodities mostly steadier in oversold condition |
14:00min Back to top |
03-08-2015 |
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Asia Pacific mixed, China soft, Europe firmer on QE, Wall Street halves day's decline but Apple breaks support, US10-Yr 2.148%, V*IX 12.75, DXY 97.49, resources very weak |
14:46min Back to top |
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July 2015
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31-07-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
38:11min Back to top |
30-07-2015 |
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Stock markets mixed in period of seasonal underperformance, US correction risk increasing, USD firm, bonds ranging, VIX 12.13, argi commodities steady, metals ease |
12:16min Back to top |
29-07-2015 |
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Stock markets steadier, China's gains, US 10-Yr 2.25%, VIX 12.50, DXY firmer at 97.13 as Fed says jobs data leaves door open for a rate hike this year, CCI up for 2nd day |
14:54min Back to top |
28-07-2015 |
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Stock markets mostly lower in Asia but Japan well above opening lows, Europe & Americas firmer, US 10-Yr 2.249%, VIX 13.44, DXY slightly firmer as is CCI |
16:27min Back to top |
27-07-2015 |
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Very weak stock markets, led down by China, US 10-Yr 2.217, VIX 15.60, Dollar Index weakens to 96.54, commodities weaker with few exceptions |
10:11min Back to top |
24-07-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
32:07min Back to top |
23-07-2015 |
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Stock markets mostly easing this week following short-term O/B, US 10-Yr 2.267%, VIX firming 12.64, DXY eases, PMs, crude oil & copper still under pressure |
13:54min Back to top |
22-07-2015 |
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Stock markets mostly weaker after short-term O/B condition, India, Vietnam, China A & Indonesia main exceptions, US 10-Yr 2.327%, VIX 12.10, PMs crude oil weak |
16:01min Back to top |
21-07-2015 |
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Apple earnings up 38% but disappoint, share lower after hours, stk mkt reaction from O/B evident in Europe & Americas, Japan lower on Wednesday, USD softens |
16:45min Back to top |
20-07-2015 |
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Stk mkts, mostly steady in bull trends but short-term O/B, some seasonal headwinds, QE supported mkts doing best, US 10-Yr2.37, VIX 1225, commodities slump |
18:42min Back to top |
17-07-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities. |
40:04min Back to top |
16-07-2015 |
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Stock markets mostly firm, correcting oversold, liking Greece off the front page and Iran deal, US 10-Yr 2.35%, VIX 12.11, DXY firming in range, commodities mostly weak |
12:43min Back to top |
15-07-2015 |
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Japan, India firm in Asia, China weaker, consolidation of Europe's relief rally likely, USA tech leading to the upside, DXY too strong, US 10-Yr 2.35%, VIX 13.23, PMs & crude oil weak |
16:20min Back to top |
14-07-2015 |
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Japan firm and nearing year's highs, Wall St steady, Biotech Index new highs, US 10-Y 2.397%, VIX 13.37, too strong USD eases, crude oil steady, PMs weak |
19:48min Back to top |
13-07-2015 |
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Stock markets firm on EU-Greece agreement, bond yields rise US 10-Yr2.439, VIX 14.05, Dollar Index firms within range, crude oil eases, soft commodities firmer |
16:41min Back to top |
10-07-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
34:13min Back to top |
09-07-2015 |
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China bounces on intervention which steadies global mkts, Europe firms on hope of political resolution of Greek drama, US 10-Yr 2.31%, VIX 19.97, grains firm, oil steadies, PMs weak |
11:10min Back to top |
08-07-2015 |
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Stock markets led lower by China's climactic slide, O/S European indices edge higher US weaker, US 10Yr 2.19, VIX 19.66, DXY ranging, some climactic selling in indu commodities |
19:28min Back to top |
07-07-2015 |
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Stk mkts mixed in Asia, Japan firm, China weak but O/S, Europe weak on Grexit uncertainty, US 10-Yr 2.25%, VIX 16.09, USD firm, commodities mostly weak |
18:07min Back to top |
06-07-2015 |
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Stocks hit by Greece vote & uncertainty, China A, India & Vietnam buck weak trend, US 10-Yr 2.285%, VIX 17, DXY 96.26, crude oil slumps, platinum & palladium weak |
16:42min Back to top |
03-07-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
24:31min Back to top |
02-07-2015 |
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Stock markets near lower side of corrective phase, Greek referendum result on Sunday, will set tone for next week, US 10-Yr 2.386%, VIX 17.47, metals oversold, agri firm |
13:12min Back to top |
01-07-2015 |
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Greece continues to dominate headlines but stock markets generally steady, China weak, oil and gold weak, Dollar steady |
9:11mins Back to top |
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June 2015
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30-06-2015 |
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Stock markets firmer in Asia, led by China, weak in Europe on Grexit fears, small gains in Americas, YS 10-Yr 2.35%, VIX 18.23, DXY 95.53, metals ease, agri commodities soar |
15:56min Back to top |
29-06-2015 |
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Stock markets slump on Grexit / seasonal factors, US 10-Yr 2.33%, VIX 18.85%, Dollar Index reverses early rally, indu commodities & PMs mostly lower, softs higher |
12:36min Back to top |
26-06-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
33.15mins Back to top |
25-06-2015 |
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stock markets mostly ease on Grexit impasse & China uncertainty, US 10-Yr 2.407%, Vix 14.01, USD eases, palladium weakens, grain & bean prices extend rallies |
15:51min Back to top |
24-06-2015 |
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Greece still making headlines, stock markets ease, soft commodities firm, government bonds steady, |
13.02mins Back to top |
23-06-2015 |
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Stock markets firm on Grexit avoidance hopes, US 10-Yr 2.408%, VIX 12.11, Dollar Index firmer at 95.43, crude oil & copper gain, gold and silver weaken |
16:59min Back to top |
22-06-2015 |
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Stock markets rebound on probable Greece/EU deal, US 10-Yr 2.37%, USD steady, platinum leads palladium & gold lower, agricultural commodities mostly firmer |
16:01min Back to top |
19-06-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
36:16min Back to top |
18-06-2015 |
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Japan & China weaken, India firmer, Europe retraces early losses & mostly rallies, USA firm with new highs for CCMP & RTY, 10-Yr2.33%, VIX 13.19 USD eases, gold $1201 |
13:19min Back to top |
17-06-2015 |
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Stock markets mostly firmer in Asia Pacific, easier in Europe on Grexit uncertainty, USA steadier on Janet Yellen's comments, USD lower, US 10-Yr 2.316%, VIX 14.5 |
10:54min Back to top |
16-06-2015 |
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China leads most Asian stock mkts lower, Europe & USA steady after early weakness on Grexit concerns, US 10-Yr 2.30%, indu metals weak |
10:44min Back to top |
15-06-2015 |
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Wall Street closes off its low, Europe continues to revert to the mean, Japan steady, commodities weak cocoa excluded, Treasuries unwinding oversold condition |
10:21mins Back to top |
12-06-2015 |
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Big Picture, long-term outlook for stock markets, government bonds, currencies & commodities |
23:42min Back to top |
11-06-2015 |
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Most stock markets extend this week's rally but European gains pared by lack of Greek issue resolution, US 10-Yr T-Bonds downside key after test of 2.50% |
12:23min Back to top |
10-06-2015 |
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Stock markets rebound on probable breakthrough in EU negotiations with Greece, VIX falls 6.8%, US 10-Yr extends gains 2.48%, USD weaker, commodities firmer |
19:27min Back to top |
09-06-2015 |
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Bond yields higher, US 10-Yr 2.438%, stock market correction creating more oversold conditions, USD slightly easier in lengthy consolidation, crude oil leads firmer commodities |
15.47min Back to top |
08-06-2015 |
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Stock markets mostly in corrective phases, US 10-Yr 2.38% ranging sideways to higher, precious & industrial metals still underperforming |
18:19min Back to top |
05-06-2015 |
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Big picture, long-term outlook for global stock markets, government bonds, currencies & commodities |
34.16mins Back to top |
04-06-2015 |
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Equities and commodities weak, China finishes strongly, Dollar and bonds steady |
15.26mins Back to top |
03-06-2015 |
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Bond yields surge, Euro firm, Australian and Asian stock market weak, Japan and China steady, Wall Street inert, oil and gold weak |
16.51mins Back to top |
02-06-2015 |
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US Dollar weak, stock markets ease, China and Japan firm, oil & copper firm |
10.06 mins Back to top |
01-06-2015 |
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China rebounding, Eurozone bond yields rising, Euro weak, oil steady, platinum testing its lows |
11;56 Back to top |
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May 2015
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29-05-2015 |
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Big picture, long-term outlook for global stock markets, government bonds, currencies & commodities |
37.38mins Back to top |
28-05-2015 |
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China pulls back sharply, Europe and Wall Street ease, Australia and Philippines back to potential areas of support, |
12:45mins Back to top |
27-05-2015 |
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European stocks advance, Wall Street Steady, Yen weak, gold steady, oil weak, bonds steady |
13.51mins Back to top |
27-05-2015 |
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European stocks advance, Wall Street Steady, Yen weak, gold steady, oil weak, bonds steady |
13.51mins Back to top |
26-05-2015 |
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Wall Street weak, China new highs, Yen, Euro, AUD, CAD weak, gold and oil pulling back from their trend means, Treasuries firm |
11.11mins Back to top |
22-05-2015 |
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Big picture, long-term outlook for global stock markets, government bonds, currencies & commodities |
38.16mins Back to top |
21-05-2015 |
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China firms, stock markets generally steady, Pound firm, oil firm, gold eases |
11.44mins Back to top |
20-05-2015 |
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Stk mkts mostly firm in Asia Pacific & Europe, US gains pared by firming USD, US 10Yr 2.258%, DXY 95.468, EUR dips, PMs slightly higher indu metals & softs mostly ease |
14:16min Back to top |
19-05-2015 |
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China leads most stock markets higher, European mkts rally sharply, Wall St flat, US 10-Yr 2.28%, USD strong, EUR weaker commodities mostly fall |
14.14min Back to top |
18-05-2015 |
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Treasuries weak, Wall Street Steady, Dollar firm, Europe finding support in the region of the trend mean, Oil susceptible to consolidation |
14:20mins Back to top |
15-05-2015 |
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Big picture, long-term outlook for global stock markets, government bonds, currencies & commodities |
26:32min Back to top |
14-05-2015 |
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Stock markets firm in Europe & USA, new closing high for S&P, gov bond yields ease, as does Dollar, commodities mostly firm with CCI and CRY higher |
14:21min Back to top |
13-05-2015 |
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Stock markets mixed, bond yields mostly extend rises, US-10-Yr 2.29%, USD weak, Dollar Index 93.65%, gold & silver lead precious metals higher, softs mostly weak |
13:57min Back to top |
12-05-2015 |
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Stock markets mostly weaker, unsettled by the rise in gov bond yields, US 10-Yr 2.245% after high of 2.36% today, USD mostly lower, crude oil & metal prices firm commodities |
13:39min Back to top |
11-05-2015 |
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Stock markets firm in Japan, China & India, mixed to soft elsewhere following Friday's gains, US 10-Yr surges to 2.28%, precious metals weaken |
11:43min Back to top |
08-05-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
33:47min Back to top |
07-05-2015 |
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Asia stk mkts weak, Europe mixed, USA slightly steadier, DXY regains half of yesterday's decline, GBP surges on exit polls favouring Tories, crude oil caps rally, metals lower |
16:06min Back to top |
06-05-2015 |
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Stock markets still soft, China, India (now O/S) lower, US pares losses, T-Bond yields surge 2.24% & 3% for 10-Yr & 30-Yr, USD weaker, metals & crude oil lose early gains |
18:56min Back to top |
05-05-2015 |
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Stock markets nervous, China downward dynamics, US 10-Yr 2.1853% in Type-3 base development, DXY testing initial underlying support, indu commodities firm, esp crude oil |
22.03min Back to top |
01-05-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
42.07mins Back to top |
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April 2015
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30-04-2015 |
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Wall Street eases, Russell 2000 at the first area of potential support. Gold weak, oil & copper firm, Japan weak, China steady |
9.34mins Back to top |
29-04-2015 |
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Euro strengthens, Eurozone equities pullback sharply, Dollar weak against a basket of currencies, oil firm, gold steady, gold shares firm. |
10.04mins Back to top |
29-04-2015 |
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Euro strengthens, Eurozone equities pullback sharply, Dollar weak against a basket of currencies, oil firm, gold steady, gold shares firm. |
10.04mins Back to top |
28-04-2015 |
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Dollar weak, commodity currencies bounce, precious metals steady, European shares at risk of mean reversion, Rupee steadies |
8.46mins Back to top |
27-04-2015 |
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China extends advance, India and Indonesia pull back, precious metals steady, Wall Street pauses, Dollar steady |
13.49mins Back to top |
24-04-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
38:18min Back to top |
23-04-2015 |
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Stk mkts for Japan, China A firm but O/B, Taiwan & South Korea strong, India eases, EU mostly eases, Americas firmer, US 10-Yr 1.95%, DXY weakens, PMs steady crude oil firm |
12:37min Back to top |
22-04-2015 |
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New highs for Japan Topix & Nikkei, also China A-Shares, India steadies in range, Europe quiet & mixed, US firms towards highs, US 10-yr 1.98%, GBP firms on BoE talk, PMs weak |
12:31min Back to top |
21-04-2015 |
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Stk mkts mostly firm in Asia, led by China & Japan, India eases, Europe mostly steady, DJIA & S&P ease but CCMP firmer, US10-Yr 1.908%, currencies quiet, commodities mostly ease |
9:36min Back to top |
20-04-2015 |
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Wall Street bouncing, oil firm, China weak |
7.42 Back to top |
17-04-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
38:43min Back to top |
16-04-2015 |
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Stk mkts firm in Asia/P, esp China, India eases, Europe soft, US eases, also Dollar lower, crude oil steady, CCI Index base building |
12:06min Back to top |
15-04-2015 |
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Stk mkts mixed in Asia, India lower, modest gains in Europe, RTY leads US indices higher, DXY down at 98.379, WTI up out of this year's range at $56, PMs firmer |
14:05min Back to top |
14-04-2015 |
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Stock markets quieter & mixed, HK indices retrace most of Monday's gains, EU indices softer on Greece payments concerns, USD eases, crude oil testing upper side of range |
11:06min Back to top |
13-04-2015 |
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China strong but other stock markets mixed, with US S&P -0.46%, US 10-Yr 1.93%, DXY backs off 99.99%, commodities mostly lower, led by PMs, crude oil slightly higher |
10:41min Back to top |
10-04-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
36:24min Back to top |
09-04-2015 |
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Stk mkts generally firm, HSCEI and HSI up but well off early highs, Japan & India steady, Europe firm, Wall St steady, US 10-Yr 1.96%, DXY firm near 99, resources mostly ease
|
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08-04-2015 |
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Hong Kong indices surge, China A-Shares firm but O/B, Japan & India gain, Europe eases, US steady, $ Index (DXY) firms in range, USD down vs India's INR & flat vs CNY, Oil dips |
11:06min Back to top |
07-04-2015 |
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Stk mkts firm in Asia & Eur, led by China, Wall St, up on Monday, could not hold today's opening gains, US 10-Yr 1.89%, USD strong as DXY up to 98, indu commodities rise |
7:52min Back to top |
02-04-2015 |
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Stock markets firm, US 10-yr yield rises to 1.91% but historically low, USD weakens vs most currencies, EUR 1.0883, indu commodities ease, softs mostly firmer - next Audio Tues 7th April |
17:50min Back to top |
01-04-2015 |
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Japan stk mkt eases, China strong, India rallying from MA, Europe steady, Wall St & $ ease, US 10-Yr 1.85%, oil leads commodities higher on Middle East Shia/Sunni tensions |
17:18min Back to top |
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March 2015
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31-03-2015 |
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Stock markets mostly weaker, esp Europe & Americas, US 10-Yr 1.94%, Dollar Index firm at 98.43, Euro weaker at 1.0737, commodities mostly lower, platinum excepted |
15:39min Back to top |
30-03-2015 |
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Stock markets string today, esp China, only Australia & New Zealand lower among main mkts, US 10-Yr 1.9475%, DXY bounces to 97.96, PMs & most other commodities lower |
11:29min Back to top |
27-03-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
27:29min Back to top |
26-03-2015 |
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Stock mkts roiled by Middle East conflict, and general nervousness, esp where mkts such as tech have been very strong, US 10-Yr 1.99%, USD slightly steadier, crude oil firm |
17:58min Back to top |
25-03-2015 |
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Stock markets mostly weaker, esp USA as O/B tech shares reacted sharply with Nasdaq Comp -2.37%, US 10-Yr 1.925%, USD slightly lower, Brent oil firms to $56.48 |
10:44min Back to top |
24-03-2015 |
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Stock markets mixed in a quieter day, US10-Yr 1.873%, USD slightly steadier, commodities mixed after recent rally on softer USD |
8:55min Back to top |
23-03-2015 |
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Japan & China strong, other stock markets mostly ease, US 10-Yr 2.90%, weaker USD & DXY down to 97, commodities firmer |
14:09min Back to top |
20-03-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
30:04min Back to top |
19-03-2015 |
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Currency volatility increases, stock markets generally steady, European shares susceptible to a somewhat deeper pullback, China firm, |
9.43mins Back to top |
18-03-2015 |
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An all change day - O/B US Dollar slumps, stk mkts mostly firm, US 10-Yr 1.92, O/S PMs & crude oil bounce |
13:18min Back to top |
17-03-2015 |
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Stock mkts mostly firm in Asia/P, profit taking in EU as short-term O/B, US mixed Brazil gains 2.94%, US 10-Yr 2.05%, INR & CNY firm, DXY O/B, PMs, crude oil, grains & beans weak |
11:07min Back to top |
16-03-2015 |
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China A-Shares new recovery high, strong gain in Europe and on Wall St, commodity producers weak, US 10-Yr 2.07%, USD eases, PMs & indu metals ease, coffee O/S & firming |
12:26min Back to top |
13-03-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
36:53min Back to top |
12-03-2015 |
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Stock markets firmer, led by Japan & USA, EU shares fractionally lower, US 10-Yr 2.1156%, DXY backs away from psychological 100 level & O/B, EUR O/S, commodities mostly ease |
13:43min Back to top |
11-03-2015 |
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Euro weak, Eurozone indices strong, Wall Street consolidating, precious metals weak, Greek yields rising, German & Italian yields compressing. |
1139mins Back to top |
10-03-2015 |
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Stock markets mostly weaken from previous O/B levels, US exporters hit by strong $, US 10-Yr 2.13%, metals, oil & most soft commodities decline |
10:40min Back to top |
09-03-2015 |
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Mainland China firm but other Asia/P stk mkts weaken, esp India, Europe mostly easier but Germany & Italy firm, US steadies, US 10-Yr 2.19%, firm, CCI Index extends decline |
9:35min Back to top |
06-03-2015 |
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Big picture outlook for stock markets, government bonds, currencies & commodities |
31:22min Back to top |
05-03-2015 |
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Stk mkts mixed in Asia, with China down last 4 days, Europe strong, Wall St steady, US 10-Yr 2.11%, DXY strong, EUR weak, PMs barely steady, oil little changed |
14:44min Back to top |
04-03-2015 |
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Euro weak, Wall Street eases, Europe and China steady, discussion of bond market consistency |
11:44mins Back to top |
03-03-2015 |
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Stock mkt profit taking, esp in Europe, but Wall St halves losses, US 10-Yr 2.1189%, DXY, eases, crude oil firmer, most other commodities ease |
7:56min Back to top |
02-03-2015 |
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Stock markets mostly firm, led by Wall Street's new highs, US 10-Yr 2.08%, USD firm, crude oil backs off recovery highs, |
9:40min Back to top |
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February 2015
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27-02-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
39:09min Back to top |
26-02-2015 |
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Stock markets mostly firm, esp Japan, China & EU on stimulus, India eases ahead of Friday's budget, US 10Yr 2.03%, DXY firm @ 95.264, INR even stronger, grains & PMs steady |
11:49min Back to top |
25-02-2015 |
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Oil bounces, Treasuries extend rally, stock markets generally steady, discussion on the possibility of a bubble developing. |
11.44mins Back to top |
24-02-2015 |
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Stock markets firm, albeit a little overextended in the short term, US 10-Yr declines to 1.974% after Yellen's comments, metals mostly ease |
7:46min Back to top |
23-02-2015 |
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Wall Street "stretched" valuations, Europe, Japan, China playing catch up, oil weak |
11.06mins Back to top |
20-02-2015 |
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Big picture, long-term outlook for global stock markets , government bonds, currencies and commodities |
40:48min Back to top |
19-02-2015 |
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Stock markets mostly steady, Japan & several EU indices extending new recovery highs, US 10-Yr 2.11%, currencies & commodities little changed |
9:16min Back to top |
18-02-2015 |
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Stock markets mostly firm in Asia & Europe, US10-yr 2.08%, DXY firm, as is GBP, crude oil loses $3 on supply, platinum extends downward break |
12:47min Back to top |
17-02-2015 |
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Stock mkts mostly firm, new highs by CCMP, NDX, SPX & RTY in US, US 10-Yr rises again 2.1379%, EUR firms, PMs weak |
16:26min Back to top |
16-02-2015 |
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Asian stock markets mostly firm, Europe eases on lack of agreement with Greek government, US equities closed on holiday, USD steady, commodities, where open, slightly firmer |
15:55min Back to top |
13-02-2015 |
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Big picture long-term outlook for stock markets, government bonds, currencies & commodities |
24.01mins Back to top |
12-02-2015 |
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|
Stock mkts mostly firmer, esp in Europe and N Amer, CCMP & NDX new highs, US 10-Yr 1.9879%, $ eases, £ firmer, crude oil gains |
13:55min Back to top |
11-02-2015 |
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Stock mkts mostly steady in Asia/Pacific, easier in EU as Greece debt issues still not resolved, Wall St steadies after early losses, US 10-Yr 2.0176%, USD firm, PMs & oil weaker |
12:55min Back to top |
10-02-2015 |
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Stock mkts mostly firmer, India & China steady & O/S, US 10-Yr 2%, USD firm, commodities mostly lower, esp crude oil |
12:44min Back to top |
09-02-2015 |
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Stock mkts mixed, India slips in O/B correction & New Delhi election concerns, Thai mkt firm, Europe eases on Grexit fears, Wall St eases near range highs, silver & gold steady |
12:30min Back to top |
06-02-2015 |
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Big picture long-term outlook for stock markets, government bonds, currencies & commodities |
35:43min Back to top |
05-02-2015 |
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Stock markets mixed but Wall St firm in the upper-middle portion of recent ranges, US 10-Yr 1.815%, USD eases, EUR, GBP, AUD & INR firmer, commodities mixed but crude oil gains. |
12:17min Back to top |
04-02-2015 |
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Stock markets mixed, Japan higher, Wall Street loses early gains, US 10-Yr 1.75%, DXY firmer, PMs slightly higher, crude oil weakens, as do many other commodities |
12:15min Back to top |
03-02-2015 |
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Stock markets mostly higher, esp strong in China, Europe, Americas & resources. US 10-Yr 1.79%, USD weakens, previously oversold commodities surge on short covering |
14:16% Back to top |
02-02-2015 |
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Stock markets mixed in Asia, mostly higher in Europe & Wall Street's late rally regains most of Friday's losses, DXY eases, CNY weakening again, INR steady, oil firm on short covering |
16:11min Back to top |
|
January 2015
Audio Date |
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30-01-2015 |
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Big picture long-term outlook for stock markets, government bonds, currencies & commodities |
32:52min Back to top |
29-01-2015 |
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|
Japan, China ease, India new highs, Europe steady, Wall St firmer after indices test lateral trading, USD firm, AUD weak, silver leads PMs lower, copper weak, oil quiet in narrow ranges |
10:18min Back to top |
28-01-2015 |
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oil hit a new low, Wall Street weak, bonds firm, technology shares steady |
11:03mins Back to top |
27-01-2015 |
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Japan, India firm in mostly in form Asia/P but China eases, Europe lower on Greece concerns, Wall St weaker on earnings outlook, PMs & crude firmer, copper weak |
12:57min Back to top |
26-01-2015 |
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Stock markets mixed in Asia/P, firm in Europe, US a fraction higher, USGG10Yr 1.826%, USD steady, CNY weakens, PMs & oil ease |
12:31min Back to top |
23-01-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies and commodities |
28.28mins Back to top |
22-01-2015 |
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Stock markets firm on ECB's QE, gov bonds quiet, DXY strong but mostly against Euro, precious metals strong, led by silver but O/B, crude oil drifts agri commodities lower |
15:19min Back to top |
21-01-2015 |
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Canada cuts rates, Japan maintains stimulus, ECB's decision on QE tomorrow, China & India firm, oil steady |
11 mins Back to top |
20-01-2015 |
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Stock markets generally firm, gov bond yields ease, DXY above 93, Yen slips to 118.72 & Euro 1.15 vs USD, precious metals firm, crude oil lower |
13:42min Back to top |
19-01-2015 |
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Wall St closed, Asia Pacific mkts mostly higher but China falls sharply, led by stock brokers in move against excessive margin trading, crude oil eases, as do PMs |
8:14min Back to top |
16-01-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies and commodities |
38:34min Back to top |
15-01-2015 |
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Stock mkts surge in Asia/P, esp India & China, firm in Europe, Wall St loses early gains, US 10-Yr gov 2.71%, Swiss Franc surges, gold strong, grains & beans weaken |
13:11min Back to top |
14-01-2015 |
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Stock mkts weak in choppy trading, gov bond yields decline, DXY eases, crude oil bounces, copper leads industrial metals lower, gold & silver lose early gains |
18:35min Back to top |
13-01-2015 |
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Stock mkts mixed in Asia, China steady, strong in Europe, but Wall St lost strong early gains, gov bond yields ease, DXY firm, oil 2$ off new lows, copper weak |
11:10min Back to top |
13-01-2015 |
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The Markets Now, David Fuller on Opportunities and Risks for Financial Markets In 2015's Changing Environment |
63min Back to top |
12-01-2015 |
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volatility increasing, oil remains weak, commodities weak |
11.18mins Back to top |
09-01-2015 |
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Big picture, long-term outlook for stock markets, government bonds, currencies & commodities |
22:35min Back to top |
08-01-2015 |
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Stock markets very firm, mainland China excepted, gov bond yields edge higher, US Dollar Index firm but O/B at 92.327, euro extends decline, Indian rupee firms, oil O/S |
13:46min Back to top |
07-01-2015 |
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Stock markets firmer, mildly O/S, US 10-Yr 1.967% and global gov bond mostly O/B on exaggerated deflation concerns, DXY O/B, PMs ease |
13:24min Back to top |
06-01-2015 |
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Stock markets weak, aside from China, Mexico & Brazil, Wall St closes off lows, US 10-Yr 1.94%, DXY 91.74 EUR 1.187, gold & silver lead PM firmness, crude oil $2 lower |
16:19min Back to top |
05-01-2015 |
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Stock markets weak, China excepted, on various concerns from oil to GDP growth, US 10Yr 2.037%, USD gains again, crude oil slumps, gold, silver & grains firm, indu metals weak |
15:18min Back to top |
02-01-2015 |
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Big picture, long-term outlook for global stock markets, government bonds, currencies & commodities |
46:32min Back to top |
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