April In Review: The Bond Market Roared
Rising bond yields meant interest rate-sensitive equities were out of favour in April, while investors sought inflation-protection in mining stocks and commodities
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Rising bond yields meant interest rate-sensitive equities were out of favour in April, while investors sought inflation-protection in mining stocks and commodities
Recap on key themes of 2022This year has not been a good one for small caps. To the end of November, the Small Ordinaries Accumulation Index (Small Ords) had fallen 15.2% compared with a rise of 4.0% for the Top 100 stocks. The sectoral divergence has also been significant with...
All sectors of the Australian stock market lost ground in September as global recession fears and higher bond yields weighed, resulting in a -6.2% loss for the ASX200
Lower bond yields spurred the ASX200 to a 5.8% gain in July as growth, technology and real estate outperformed
Losses in the industrial and energy sectors outweighed information technology gains leading to a -0.1% total decline for the ASX200 in October as Australian 10-year bond yields continued to climb