US still performing strongly while EU economy struggles.
AI driven rally fades as global share markets post small loss in Q3.
Energy posts strong gains with oil production cuts.
Bond prices pushed down again with rate expectations.
Australian property prices still moving upward, with Hobart the exception.
The SPIVA Mid-Year Scorecard and a brief look at fund survivorship.
2023 Q2 JUNE QUARTER REVIEW
Why Would Anyone Invest?
Q1 2023 March Quarterly Review
Bank Runs
2022 Q4 December Quarter Review
2022 Q3 September Quarter Review
2022 Q2 June Quarter Review
2022 Q1 January Quarter Review
Russian invasion of Ukraine a dominant theme.
Inflation continues to rise in US, leading to consumer pessimism.
US Fed Reserve increases interest rates, with more increases to follow.
RBA continues to wait and see on inflation.
Global sharemarkets poor in Q1.
Australian sharemarket resilient, while bond yields spike.