Sinopsis
Listen to the best of Stanford Brown's financial, investment and economic updates.
Episodios
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Budget, Banks, Markets and More!
20/10/2020 Duración: 46minWelcome to Stanford Brown's ‘SB Talks’ podcast where we explore the important elements of your financial world - from investments to strategy, from retirement planning to intergenerational wealth. In this episode our CEO Vincent O’Neill is speaking with Chief Investment Officer Ashley Owen to discuss markets, economics, pandemics, and just a little US politics. We cover: The competing forces driving markets - Pandemic recession vs Ultra-low rates Governments are running up war-time-like deficits and debts – can it last? Australia’s banks – back to the good old days?
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Is Capitalism Dead? - August 2020
24/08/2020 Duración: 40minAs always, I am joined by our Chief Investment Officer, Ashley Owen. In this edition, we discuss whether the willingness of central bankers and governments to do whatever it takes to keep the party flowing signals the death of capitalism. We reflect on why shares are rising in such a gloomy environment and discuss how we are positioned in client portfolios.
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Bro Down on Robinhood - July 2020
10/07/2020 Duración: 44minWelcome to Stanford Brown’s monthly podcast, Market Insights. As always, I am joined by our Chief Investment Officer, Ashley Owen. In this edition, we reflect on the performance of the major asset classes during the financial year just passed; we discuss the explosion in share trading accounts from Gen Z; we debate whether inflation is dead for ever; we ask whether it is impossible to fight the Fed; and why the Australian share market has lagged the rally. We hope you enjoy!
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Reflections on the March Quarter - April 2020
09/04/2020 Duración: 42minIn this edition we review the performance on each asset class during the March quarter and discuss their outlook for the months ahead. We end on a positive note, even as if the global recession is deep and the recovery slow, we discuss why Australia is almost uniquely well positioned.
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The Coronavirus Pandemic - March 2020
26/03/2020 Duración: 49minAs always, I am joined by our CIO, Ashley Owen. In this edition, we discuss the impact of the Covid-19 pandemic on corporate profitability and equity markets. We review why we have taken the decision to reduce risk and look at what would make us buy equities once again.
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The Coronavirus & its Impact on Portfolios - February 2020
24/02/2020 Duración: 36minIn our first Stanford Brown Market Insights podcast of 2020, we discuss the changes made to client portfolios as a result of our extensive January asset class review. We also review the likely implications the Coronavirus will have for markets. We hope you enjoy!
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Are We Living on Borrowed Time? - December 2019
08/12/2019 Duración: 36minIn this month’s Market Insights podcast, we reflect on a stellar year for market returns with Stanford Brown’s Growth portfolios up more than 23%. But the bull market is now approaching 11 years, and we discuss the question of whether we are living on borrowed time. Finally, it’s been a horror month for Westpac and we debate whether the current banking woes are temporary or terminal. We hope you have enjoyed our Market Insights series this year and we wish our listeners a very happy Christmas!
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Bubble, Bubble Toil & Trouble - Lessons from 1929; November 2019
12/11/2019 Duración: 39minNinety years ago, in October 1929, the US stock market fell 24% in two days, the start of a slide that lasted three years and saw the Dow Jones Index fall by 89%. It took 25 years to recover its 1929 high. In this podcast, we discuss the causes of the 1929 crash and compare to conditions today. Could it happen again?
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Recession? Why Do You Ask? - October 2019
09/10/2019 Duración: 40minIn this month’s Market Insights podcast we reflect on a stellar first nine months for portfolios and examine why nearly all asset classes are flying; we trace Communist China’s 70 year journey from the 12th poorest nation in the world to a land of BMWs; and we discuss the link between recessions and stock market returns. The data may surprise you! We hope you enjoy!
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Recession? Does It Matter? - September 2019
05/09/2019 Duración: 41minIn this month’s Market Insights podcast, we discuss the Australian reporting season and unearth some concerning data; we debate whether our Treasurer, Josh Frydenberg, is right to demand greater re-investment from Australian companies; we take a look at the latest salvos in Trump’s Trade & Currency Wars; and finally, we finish with a conversation on the likelihood of an impending global recession and more importantly, whether it even matters for portfolios. We hope you enjoy!
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Tell Him He's Dreamin'; August 2019
08/08/2019 Duración: 47minIn this month’s episode of Stanford Brown’s Market Insights, we are joined by CIO Ashley Owen as we break down the roller-coaster equity markets of the last year, and Stanford Brown’s current positions. We discuss the delayed recovery and some history of the Australian stock market, the difference between investing and gambling and more!
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Property Market Mania! June 2019
04/06/2019 Duración: 48minIn this month’s podcast, we discuss all things property! We are joined by two highly experienced property specialists – Mortgage Broker, John Ruddick, and Property Buyer, Patrick Bright. We discuss whether the property market downturn is over, how to lower your mortgage rate, how to choose your new mortgage lender and the key attributes of an investment property.
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What The Coalition Win Means For Investors; May 2019
21/05/2019 Duración: 40minThis month, we discuss the surprise Coalition victory and its implications for Australian based investors in the property and share markets. We are also joined by Stanford Brown’s Chief Compliance Officer, Diana Chan, who discusses the election’s consequences for superannuation, self-managed super funds and taxation.
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The Magic of the Yield Curve; April 2019
09/04/2019 Duración: 45minIn this month's podcast we discuss how the Budget will impact Australian-based investors and their portfolios. We talk about yield curves, what they mean and why inverted yield curves are like inverted belly buttons. We discuss the sudden about-turn of global Central Banks and explore why investing in the next hot sector nearly always ends in tears. Finally, we discuss the terrifying Crane Index (terrifying if you own Aussie property) and ask, as always, what lies ahead…
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Theres Gold in Commercial Property; March 2019
08/03/2019 Duración: 36minThis month, I am joined again by CIO Ashley Owen as we review the weak local economy and what that means for Australian shares. We look back at the first half reporting season, contrasting the banks with the miners, and discuss why we hold positions in Gold and Commercial Property. Finally, don’t believe in active fund managers? Then we have a new solution for you.
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The Almighty Fed; February 2019
18/02/2019 Duración: 39minAs always, I am joined by our Chief Investment Officer, Mr. Ashley Owen. Inevitably, we’re going to be discussing the Hayne Report, and the impact it will have on the financial services industry, in particular, the banks. We’ll be taking a quick look at a very important announcement made by the Fed in early January, the importance of a looming Brexit and finally the portfolio changes we made in January, alongside what an incoming Labor Government would mean for our portfolios.
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Let Them Eat Yellow Vests; January 2019
17/01/2019 Duración: 41minAs ever, I am joined by our CIO, Ashley Owen. This month we discuss whether a new bear market has already started, we debate whether Brexit is a sideshow and speculate that Europe’s problems may stem closer to its French heartland, we mull over why markets are falling amidst such a positive backdrop for corporate profits, and Ashley lists his four factors that accompany most asset bubbles. We hope you enjoy!
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Ep. 5 - December 2018
04/12/2018 Duración: 42minIn this month's episode of Stanford Brown's Market Insights podcast, Jonathan and Ashley discuss whether a new bear market has already begun, whether the world is heading for recession, why the oil price collapsed, the unintended effects of the Hayne Commission and some mind-blowing stats about China. We hope you enjoy!
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Ep. 4 - November 2018
11/11/2018 Duración: 34minIn this month’s episode we reflect on the Red October, likely scenarios ahead for the Global Economy. We also re-visit the valuation of tech stocks compared to last month, what we are worried about, and what we think is ahead. As always, we hope you enjoy!
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Ep. 3 - October 2018
09/10/2018 Duración: 39minIn this month's podcast we discuss the implications of Commissioner Hayne’s report for Australia’s banks; we reflect on whether the current lofty valuations on tech stocks can hold; we look at the implications of the Fed’s 8th rate hike on financial markets and finally, we analyse S&P’s affirmation of Australia’s AAA credit rating. We hope you enjoy!