Skip to main content

Latest stock market podcasts

Weekly Wrap 12 December

Bell Direct
December 12, 2025

The ASX200 is reflecting an over 5% increase YTD but stretched valuations and lagging financials mean investors should tread carefully heading into 2026. Analysts expect resources to take the lead next year, supported by signs of stabilisation in China, while banks and tech face tougher conditions. With the RBA likely pausing rate cuts through early 2026 and inflation still sticky, sector positioning will be key.

In this week’s video, Sophia covers:

  • (0:22): a review of the ASX200 in 2025
  • (1:02): the risks heading into 2026
  • (1:21): resources, rates & the key themes for next year
  • (2:34): how the local market performed this week so far
  • (3:33): the most traded stocks and ETFs this week
  • (4:76): economic news items to look out for next week.

Weekly Wrap 1 July

Sophia Mavridis
July 1, 2022

Morning Bell 30 June

Paulina Peters
June 30, 2022

Morning Bell 29 June

Sophia Mavridis
June 29, 2022

Morning Bell 28 June

Paulina Peters
June 28, 2022

Morning Bell 27 June

Sophia Mavridis
June 27, 2022

Weekly Wrap 24 June

Sophia Mavridis
June 24, 2022

Morning Bell 23 June

Paulina Peters
June 23, 2022

Morning Bell 22 June

Sophia Mavridis
June 22, 2022

Morning Bell 21 June

Paulina Peters
June 21, 2022

Morning Bell 20 June

Sophia Mavridis
June 20, 2022

Weekly Wrap 17 June

Sophia Mavridis
June 17, 2022

Morning Bell 16 June

Paulina Peters
June 16, 2022