
MPC Markets Morning Call 30 June 2025
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In this episode of Pre-Market Pulse, Mark discusses therecent performance of the stock market, highlighting record highs in theS&P 500 and the overall strength of various sectors. Despite geopoliticaltensions and economic uncertainties, the market has shown resilience,particularly in banking and retail. The conversation also touches on theperformance of commodities, upcoming economic
indicators, and the outlook forthe Australian market as the financial year comes to a close.
The S&P 500 closed at recordhighs despite trade war fears.
The stock market has shownresilience amid geopolitical tensions.
The Australian market is lookingat its best financial year since COVID.
Nike's return to its old businessmodel has positively impacted its stock.
The healthcare sector isexperiencing significant challenges.
Copper prices are nearing recordhighs, indicating strong demand.
The US dollar's decline is makingUS stocks more attractive to foreign investors.
Non-farm payrolls data has beenmoved to Thursday, a rare occurrence.
Conflicting signals in inflationand employment data are concerning.
Expectations are high for themarket as the financial year ends.