logo
episode-header-image
Aug 21
13m 20s

Rebel Sport's theft problem & ASX 200 br...

SBS Audio
About this episode
SBS Finance Editor Ricardo Gonçalves speaks with Gemma Dale from nabtrade about the ASX 200's record close, and takes a closer look at Rebel Sport's theft problem. 
Up next
Yesterday
CEO Series: Guzman Y Gomez's Steven Marks on results, future sales, inflation, AI and Taco Bell
SBS Finance Editor Ricardo Gonçalves speaks with Guzman y Gomez Mexican Kitchen co-CEO Steven Marks about the Mexican restaurant chain's record sales and to find out more about why investors didn't like it, plus Isaac Poole PhD, CIMA® from Ascalon Capital on the day's market acti ... Show More
15m 39s
Aug 20
How the US economy is affecting Australia's reporting season
SBS Finance Editor Ricardo Gonçalves speaks with Luke Laretive from Seneca Financial Solutions about the day's sharemarket action, including what the James Hardie and Breville profit updates says about the US economy, as debate continues on whether the US should cut interest rate ... Show More
8m 19s
Aug 19
CEO Series: Woodside's Meg O'Neill & BHP CFO Vandita Pant + CSL dumped
SBS Finance Editor Ricardo Gonçalves speaks with Woodside Energy CEO Meg O'Neill and BHP CFO Vandita Pant following their profit results, while FTSE Russell Julia Lee goes through the day's market action including why investors slammed CSL. 
26m 16s
Recommended Episodes
Feb 2022
Markets Enter February, AT&T Slumps on Planned Dividend Cut and WarnerMedia Spin-off, UPS Leads Earnings Gainers and Tom Brady Announces Retirement
On the first trading day of February Carl Quintanilla, Jim Cramer and David Faber discussed what's ahead for the markets after a January to forget for the bulls. On the earnings front, shares of UPS surged on upbeat results, guidance and a 49% dividend hike -- while Exxon Mobil p ... Show More
43m 34s
Aug 2024
Bank of Japan Rescues the Markets... For Now - Ep 973
Peter returns to his Puerto Rico studio after an extended vacation. He discusses recent market volatility, including movements in stocks, Japan’s market crash, and cryptocurrency fluctuations. Peter critiques the Fed's decision not to cut rates, arguing that delaying cuts onl ... Show More
57m 29s
Oct 2024
IMF hikes U.S. FY outlook
The IMF hikes its U.S. forecast for 2024 but Germany weighs on the European outlook. The IMF’s Director of the Monetary and Capital Markets department, Tobias Adrian tells CNBC there are reasons for optimism. The S&P 500 suffers its first back-to-back session loss since September ... Show More
22m 16s
Dec 2024
US Markets Wrap: A tale of two markets - Is disinflation fading in the US?
David Dietze, Managing Principal, Peapack Private shares his insights on the mixed picture that we're seeing ahead of the upcoming Fed meeting, whether it's time to take money off the table, where the bitcoin game stands at the moment, as well as his shopping list for stocks this ... Show More
9m 21s
Sep 2024
Investors up bets on 50bps U.S. rate cut
The greenback falls and the Dow hits a record high with investors increasingly betting on a 50bps interest rate cut from the Fed later this week. In Japan, the Nikkei is in the red as the yen strengthens past ¥140 /USD, while a CNBC survey shows a split over the timing of the BoJ ... Show More
25m 15s
Jan 2025
Intertwined markets and upcoming earnings
Investors have had trouble getting started in 2025, but there's good data on the horizon (0:30). Economic concerns around Trump's tariff talk (2:30). The Fed's 'no landing', bond market movement (4:20). Bitcoin worries might carry over into tech (see Palantir) (6:40). CES and pos ... Show More
13m 48s
Aug 2024
Sentiment leads the market; the Fed follows
The Market Pinball Wizard, Avi Gilburt, shares how the market forces the Fed's hands (0:05). FX prediction: sizable decline coming in 2nd half of 2024 in DXY, then a multi-year rally. Will emerging markets outperform S&P? (1:40) Investing in an election year (5:15). Why it's time ... Show More
11m 58s
Mar 2025
Special Report: Global Market Selloff Easing with Mike Wilson and Mohamed El-Erian
Bloomberg's Nathan Hager breaks down the recent market volatility with Morgan Stanley's Mike Wilson and Bloomberg Opinion contributor Mohamed El-Erian.   Global stocks steadied from a selloff and US stock futures signaled a Wall Street bounce, as Bloomberg News reported President ... Show More
21 m
Mar 2024
Fixed income: Gilts, Treasuries and Century bond
Saxo's Head of Fixed Income Strategies, Althea Spinozzi, discusses this week's ECB meeting, Gilts in the light of the UK budget release and evaluates the coming week's Fed meeting and how it may impact Treasuries. With guest host Melody Morgan. Read daily in-depth market updates ... Show More
20m 18s
Apr 2025
Closing Bell Overtime: Stocks Wipe Out 11 Months of Gains 4/4/25
The sharp two-day selloff has wiped out more than 10% in both the S&P 500 and the Nasdaq. Bob Elliott, Unlimited CEO, and Keith Lerner, Truist Wealth Co-CIO, kick off with a deep dive into what’s driving the decline and where markets go from here. Pippa Stevens reports on the ene ... Show More
53m 29s