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2015 Audio Archive

December 2015

Audio Date Play Save Content Duration
31-12-2015 Save Stock markets mostly ease at year end 2015, US 10-Yr 2.269%, VIX 18.27, Dollar Index firm at 98.70, commodities steady, led by cocoa, sugar & bottoming metals & oil 14:48min Back to top
30-12-2015 Save Stock markets mostly decline in line with crude oil retracing most of yesterday's gains, US 10-Yr 2.29%, VIX 17.29, DXY edges higher within range, PMs weaken 12:25min Back to top
29-12-2015 Save Stock markets mostly firmer, esp in Europe & USA, US 10Yr 2.30%, VIX 16.08, USD steady, GBP easier, commodities mostly firmer 12:56min Back to top
28-12-2015 Save stock markets steady, oil weak, silver slumps, natural gas surges 7.54mins Back to top
24-12-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 36.22mins Back to top
23-12-2015 Save Stock markets rally for the third day, mining shares and oil majors score best gains, US 10-Yr 2.25, VIX 15.57, DXY 98.36, upward dynamics in crude oil, metals mostly firm 9:40min Back to top
22-12-2015 Save Stock markets mixed to quietly steady, correcting O/S conditions, US 10-Yr 2.23%, VIX 16.6, Dollar Index eases 98.2, weak resources remain a concern 11:42 Back to top
21-12-2015 Save China leads most Asia-P stk mkts higher, European indices weaker, Wall St firms at close, US 10-Yr 2.19%, VIX 18.84, DXY 98.445, metals firmer, oil & softs mostly decline 16:38min Back to top
18-12-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 23:49min Back to top
17-12-2015 Save Stock markets strong except for USA, where Dollar Index surge sparks concerns and hits commodity prices, US 10-Yr 2.2%, VIX 18.94, metals & crude weak 10:43min Back to top
16-12-2015 Save Stock markets firm for third day, correcting O/S, Wall St firm in Fed hike & statement, US 10-Yr 2.29%, VIX 17.86, precious metals firm, crude oil weak 17:47min Back to top
15-12-2015 Save Stock markets mostly firmer, best gains in very O/S Europe, US 10-Yr 2.26%, VIX 20.95, Dollar Index 98.22,O/S precious metals steady, indu weaker, oil firmer 12:43min Back to top
14-12-2015 Save China, India firmer in Asia-P, Wall St ends near day's highs for a change from last week, US 10-Yr 2.22%, VIX 22.23 after being over 26, commodities mostly weak 8:53mins Back to top
11-12-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities, but this evening, mostly a discussion of market concerns 27:13min Back to top
10-12-2015 Save Stock markets remain nervous ahead of US rate hike and other concerns, US 10-Yr 2.23%, VIX 19.34, DXY firmer, Chinese renminbi weak, climactic selling in crude oil 13:23min Back to top
09-12-2015 Save Stock markets nervous & still correcting short-term O/B, US 10-Yr 2.216%, VIX 19.61, DXY slides to 97.38 (intervention?), EUR 1.10, GBP 1.518, resources O/S 18:01min Back to top
08-12-2015 Save Stock markets weak, becoming short-term oversold, US 10-Yr 2.218%, VIX 17.60, DXY eases, Euro steady on short covering, WTI slightly steadier, Brent dips again 9:33min Back to top
07-12-2015 Save Stock markets mixed in choppy, somewhat nervous conditions, US 10-Yr 2.22%, VIX 15.84, Dollar Index 98.65, EUR 1.083, crude oil slumps, PMs & most indu metals ease 19:53min Back to top
04-12-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 36.26mins Back to top
03-12-2015 Save 'All change' day in nervous Europe affecting USA, with some sharp selling, mainland China steady, US 10-yr surge to 2.32%, VIX 18:11, commodities rally on short covering 19:58min Back to top
02-12-2015 Save Stock markets mostly ease, not least O/B Wall St, China firmer, US 10-Yr2.179%, VIX 15.91, USD firm, metals & crude oil weak 12:54min Back to top
01-12-2015 Save Stock markets mostly firm in Asia Pacific, easier in Europe stronger in Americas on tempering of rate expectations, USD eases, US 10-Yr 2.14%, VIX 14.67, resources steady 9:41min Back to top

November 2015

Audio Date Play Save Content Duration
30-11-2015 Save Stock markets mostly ease against background of short-term O/B stochastic indicators, US 10-Yr 2.206%, VIX 16.13, Dollar Index 100.200, resources mostly weak 15:32min Back to top
27-11-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 34:53min Back to top
27-11-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 34:53min Back to top
26-11-2015 Save Stock markets mostly steady, China loses early gains, European markets firm, US mostly closed but commodities where trading mostly steady, crude oil excepted 11:59min Back to top
25-11-2015 Save Stock markets quiet although Europe recovers Tuesday's losses on Russia-Turkey incident, US 10-Yr 2.23%, VIX 15.19, DXY testing range highs, CCI edges higher 10:26min Back to top
24-11-2015 Save Stock markets mixed in Asia-P, weak in Europe on Russia-Turkey incident, US marginally firmer, US 10-Yr 2.237%, VIX 15.93, indu commodities firm for a change 10:54min Back to top
23-11-2015 Save Stock markets mostly pause as short-term O/B, watch mid-Nov lows, US 10-Yr 2.237%, VIX 15.62, crude oil up on supply cuts comment, PMs & indu metals lower 21:46min Back to top
20-11-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 30.24mins Back to top
19-11-2015 Save Stock markets firm but Wall St rally pauses, US 10-Yr 2.248%, VIX 16.99, Dollar Index backs away from range highs, O/S commodities losing downside momentum 9:01min Back to top
18-11-2015 Save The Wall Street Show, dominating upside performance, elsewhere, Asia-P & Europe mostly easier, US 10-Yr 2.27%, VIX 16.85, DXY eases resources slip 12:44min Back to top
17-11-2015 Save O/S stock markets mostly firmer in Asia-P, China mainland excepted, strong in Europe, USA loses day's earlier gains, US 10-Yr 2.26%, VIX 18.84, commodities O/S but weak 17:07min Back to top
16-11-2015 Save Stock markets mostly soft in Asia-P, China A & India excepted, Europe pares losses, Wall Street strong & O/S, US 10-Yr 2.0685%, VIX 18.16, PMs & crude oil firmer 13:22min Back to top
13-11-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 35:37min Back to top
12-11-2015 Save Stock markets mixed in Asia, Hong Kong strong, Europe & Americas sharply lower correcting O/B reading, US 10-Yr 2.31%, VIX18.37, DXY 98.65, crude oil weak 10:32min Back to top
11-11-2015 Save Dollar pauses, Wall Street eases, Europe steady, commodities trading on their individual merits 9.23mins Back to top
10-11-2015 Save Stock markets mostly weak in Asia Pacific but slightly steadier in Europe & USA, US 10-Yr 2.34%, VIX 15.29, industrial commodities weak but O/S, softs a bit firmer 15:51min Back to top
09-11-2015 Save stock markets ease, Japan firm, precious metals weak, bonds weak, oil steady 14.44mins Back to top
06-11-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies and commodities 28:15min Back to top
05-11-2015 Save Stock markets mixed as Wall St led rallies losing momentum in consolidation, medium-term outlook bullish, US 10-Yr 2.23% VIX 15.05, DXY firm, resources weaken 15:14min Back to top
04-11-2015 Save China leads most stock markets higher, Wall St pausing near year's highs, Dollar Index strengthens in range US 10-Yr 2.22%, VIX firmer 15.51, precious metals & crude oil weak 13:07min Back to top
03-11-2015 Save Stock markets mostly steady, despite short-term O/B, US 10-Yr 2.21%, VIX 14.54, DXY in middle of trading range, crude oil & copper firm, PMs becoming oversold 11:23min Back to top
02-11-2015 Save Stocks mostly weaker in Asia Pacific but firmer in Europe & Wall Street with Nasdaq 100 at a new high for 2015, US 10-Yr 2.18%, VIX 14.17, metals & crude oil weak 14:31min Back to top

October 2015

Audio Date Play Save Content Duration
30-10-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 30:42min Back to top
29-10-2015 Save Stock markets mostly slightly easier after yesterday's strong gains in Europe & USA, US 10-Yr 2.17%, VIX 14.61, DXY eases, metals weak, PMs reversing Wed gains 10:10min Back to top
28-10-2015 Save Asian stock markets soft, Japan excepted, good gains in Europe & Americas, NDX back to its highs US10-Yr 2.10%, VIX 14.33, DXY strong, crude oil firm, CCI steadies 12:59min Back to top
27-10-2015 Save Stock markets ease, China excepted, Apple discussed, US 10-Yr 2.037%, VIX 15.43, Dollar Index steady @ 96.889, crude oi & CCIl easing on excess supply 17:10min Back to top
26-10-2015 Save Quiet day, stock markets mixed as short-term O/B after good rallies this month, US 10-Yr 2.056%, VIX 15.29, USD eases, as did crude oi & metals, white sugar firm 9:42min Back to top
23-10-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 34.01mins Back to top
22-10-2015 Save European & US stock markets surge following Mario Draghi's comments, US 10-Yr 2.026%, VIX 14.45, DXY surges, Euro weakens, indu commodities steady 18:13min Back to top
21-10-2015 Save Stock markets mostly quiet after this month's rally, Japan firm, China retraces yesterday's gains, US dips as O/B near 200-day MAs for DJIA, SPX & CCMP, PMs & crude oil down 8:04min Back to top
20-10-2015 Save Stock markets quiet, mixed & holding gains, mainland China up over 1%, US 10-Yr firms 2.068%, VIX 15.59, currencies quiet, CCI slightly higher 8:43min Back to top
19-10-2015 Save Stock markets quiet but mostly with modest gains on the day, US 10-Yr 2.02%, VIX 14.98, DXY slightly firmer within range at 94.92, crude oil, PMs & indu metals ease 8:12min Back to top
16-10-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 31:29min Back to top
15-10-2015 Save Stock markets firm, US extending rally, US 10-yr 2.019%, VIX 16.05, DXY firms at lower side of range,commodities mostly steady, oil reverses early losses 16:41min Back to top
14-10-2015 Save Dollar eases, Euro, Yen firm, precious metals steady, stock markets unwinding short-term overbought conditions, bonds firm. 12.46mins Back to top
13-10-2015 Save Stock markets weaken from short-term overbought conditions, DXY eases, US 10-Yr 2.04%. VIX 17.58, soybeans lead staple grains higher, indu metals ease 18:29min Back to top
12-10-2015 Save China & Japan firm, US steady, Europe eases, Oil weak, platinum continues to unwind its oversold condition 12:25mins Back to top
09-10-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 36.04mins Back to top
08-10-2015 Save Stock mkts mixed, with some profit taking, China A strong on reopening, Wall Street firm, US 10-Yr 2.1%, VIX 17.42, DXY 95.276, crude oi & CCI extend rallies 13:27min Back to top
07-10-2015 Save Stock markets firm, esp Hong Kong indices, US 10-Yr 2.068%, VIX 18.40, DXY 95.59, commodity & other EM currencies firm on short covering, 14:17min Back to top
06-10-2015 Save Stock markets mostly firm in Asia P & Europe, Wall St eases slightly, sector rotation discussed, US 10-Yr 2.03%, VIX 19.4, DXY weaker, Crude oil firm, also PMs & CCI 17:54min Back to top
05-10-2015 Save Strong gains for stock markets, US 10-Yr 2.056%, VIX 19.54, DXY 96.03, commodity currencies show short covering & loss of downside momentum, CCI, crude oil steady 20:57min Back to top
02-10-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 37:08min Back to top
01-10-2015 Save Stk mkts firm in Asia P, mostly lower in Europe, Wall St recovers from sharp early losses, US 10-Yr 2.036%, VIX 22.55, DXY eases, palladium & white sugar firmer, CCI dips 12:06min Back to top

September 2015

Audio Date Play Save Content Duration
30-09-2015 Save Stock markets bounce from region of August lows and deeply oversold short-term indicators at end of 3Q, US 10-Yr 2.04%, VIX 24.5, USD steady, PMs weak, copper firms 13:49min Back to top
29-09-2015 Save Japan, China weak, India firmer on rate cut, Europe eases, Wall St & oversold Americas mkts slightly firmer, US 10-Y4 2.05%, VIX 26.83, DXY eases, CCI slightly steadier 12:28min Back to top
28-09-2015 Save VIX rallies, Stocks weak, Biotech extends decline, bonds firm, precious metals weak, Euro and Yen steady 13:48mins Back to top
25-09-2015 Save Big picture, long-term outlook for global stock markets, government bonds, currencies and commodities 31:17min Back to top
24-09-2015 Save Japan stocks weak, others mixed in Asia P, Europe weak on migrant surge & chaos, plus VW scandal, US pares losses, US 10-Yr 2.126%, VIX 23.47, DXY firm, PMs rally 13:06min Back to top
23-09-2015 Save FTSE-100 firms from the region of August low, so do the H-Shares, Wall Street quiet, palladium surges, oil weak, Emerging market and commodity currencies deteriorate further 13.06mins Back to top
22-09-2015 Save China region steadies with Xi Jinping in USA, India & other Asian mkts lower, Europe roiled by VW emissions fraud, US off day's lows, commodities weak 11:59min Back to top
21-09-2015 Save Asian P stock markets mostly ease, mainland China excepted, Europe steady, US firms, US 10-Yr 2.197%, VIX 20.14, Dollar Index firms, EUR slips to 1.119, crude oil firms 8:16min Back to top
18-09-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 38:08min Back to top
17-09-2015 Save Fed holds rates, no hint of near-term increase, cites 2% inflation target, US 10-Yr dips to 2.19%, VIX 21.14, USD weakens, PMs firm, other commodities mostly ease 16:25min Back to top
16-09-2015 Save China rebounds on support buying, triggering global rally, US 10-Yr 2.2958%, VIX 21.55, DXY eases ahead of Fed decision, crude oil & metals rally sharply 15:42min Back to top
15-09-2015 Save Stock markets soft in Asia-P, firmer in Europe and mostly stronger on Wall St, US 10-Yr surge to 2.286%, VIX 22.54, palladium & platinum steady, indu metals ease 11:51min Back to top
14-09-2015 Save Comments on the corrective cycle, short-term OB for many stock mkts but above 24/8 climactic lows, US 10-Yr 2.17%, VIX 24.19, crude oil drifting towards Aug lows 19:31min Back to top
11-09-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 36.15mins Back to top
10-09-2015 Save China's currency arbitrage closes, exporters to China feeling the pinch, Europe and Wall Street steady bonds flat, oil steady 14.14mins Back to top
09-09-2015 Save Japan surges, China steady, Europe steady, Wall Street closed lower, oil weak, currency flat 12:49min Back to top
08-09-2015 Save Stock markets bounce, commodities bounce, oil prices vary between contracts, euro steady 10:52min Back to top
07-09-2015 Save oil weak, precious metals ease, Europe and Asia steady, Euro steady, Yen a little weaker 7:16mins Back to top
04-09-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 29.04mins Back to top
03-09-2015 Save Wall Street finishes flat, Europe bounces on a weak Euro, gold eases, bonds steady 10:46mins Back to top
02-09-2015 Save Emerging market currencies under pressure, stock markets steady, Euro Yen steady, gold steady, platinum bounces 10:40mins Back to top
01-09-2015 Save Euro, Yen, VIX signal a return to deleveraging, gold steady 10:14min Back to top

August 2015

Audio Date Play Save Content Duration
31-08-2015 Save stocks markets ease but modestly compared with last week, crude oil continues to rebound, VIX steady 7.44mins Back to top
28-08-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 36.04mins Back to top
27-08-2015 Save Oil rebounds following 8 consecutive weeks to the downside, Equities continues to rebound, Euro unwinding short-term overbought condition, 13.03mins Back to top
26-08-2015 Save Relief rally appears to be underway, gold still unwinding overbought condition, China has yet to respond to stimulus and bonds yields continued to climb 10.07mins Back to top
25-08-2015 Save Japan and China weak, commodities don't bounce, Australia and Europe bounce, Wall Street reverses an earlier advance to finish down on the day, emerging markets are the epicentre of risk 10.24mins Back to top
24-08-2015 Save Chinese stock markets lead global markets lower. commodities reverse earlier bounces, bonds steady 14.51mins Back to top
21-08-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 26.41mins Back to top
20-08-2015 Save Equities Weak, oil weak, precious metals continue to bounce, China's revaluation of the Yuan, Australian banks 11.49mins Back to top
19-08-2015 Save Stock markets mostly weak and somewhat oversold, US 10-Yr 2.12%, VIX 15.09, Dollar Index weakens within range, EUR firms, crude oil slumps again PMs firm on fear 16:27min Back to top
18-08-2015 Save Stock markets mostly ease, led lower by sharp China A-share drop, US 10-Yr 2.219%, VIX 13.79, DXY edging higher, commodities mostly lower 8:48min Back to top
17-08-2015 Save Japan steady, China mixed, rest of Asia soft, Europe slightly higher, Wall St steadies, too many shorts? US10-Yr 2.16%, VIX 13.02, oil & indu metals lower PMs steady 10:34min Back to top
14-08-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 30:12min Back to top
13-08-2015 Save Stock markets a little steadier in Asia Pacific & Europe, US barely changed & weaker elsewhere in Americas, US 10-Yr 2.185%, VIX 13.49, metals & crude oil, slightly easier 9:20min Back to top
12-08-2015 Save Stock markets very weak but Wall Street recovers in the afternoon, US 10-Yr 2.146%, VIX 13.61, USD & CNY weaker, PMs firm in O/S rally, grains & beans weak 14:41min Back to top
11-08-2015 Save Stock markets weak on China devaluation, esp Europe, US 10-Yr 2.139%, VIX 13.71, DXY steady, Asian P & resources currencies weakest, commodities mostly weaker 15:32min Back to top
10-08-2015 Save Big, bullish day, led by China & commodities, Asia P mixed but Europe & Americas strong, USD eases, US 10-Yr 2.23%, VIX 12.19, oversold commodity prices surge 15:02min Back to top
07-08-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 32:42min Back to top
06-08-2015 Save Stock markets mostly ease, Japan & India excepted, US 10-Yr 2.22%, VIX higher at 13.77, DXY backs off 98 level but still too high in short term, commodities ease further 12:12min Back to top
06-08-2015 Save Stock markets mostly ease, Japan & India excepted, US 10-Yr 2.22%, VIX higher at 13.77, DXY backs off 98 level but still too high in short term, commodities ease further 12:12min Back to top
05-08-2015 Save Wall Street couldn't hold the earlier gain, Japan steady, Europe firm, commodities weak, commodity currencies continue to deteriorate. 11.48mins Back to top
04-08-2015 Save Stock markets mostly easier, mainland China main exception, us 10-Yr 2.22%, VIX 12.81, DXY higher at 97.82, commodities mostly steadier in oversold condition 14:00min Back to top
03-08-2015 Save Asia Pacific mixed, China soft, Europe firmer on QE, Wall Street halves day's decline but Apple breaks support, US10-Yr 2.148%, V*IX 12.75, DXY 97.49, resources very weak 14:46min Back to top

July 2015

Audio Date Play Save Content Duration
31-07-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 38:11min Back to top
30-07-2015 Save Stock markets mixed in period of seasonal underperformance, US correction risk increasing, USD firm, bonds ranging, VIX 12.13, argi commodities steady, metals ease 12:16min Back to top
29-07-2015 Save Stock markets steadier, China's gains, US 10-Yr 2.25%, VIX 12.50, DXY firmer at 97.13 as Fed says jobs data leaves door open for a rate hike this year, CCI up for 2nd day 14:54min Back to top
28-07-2015 Save Stock markets mostly lower in Asia but Japan well above opening lows, Europe & Americas firmer, US 10-Yr 2.249%, VIX 13.44, DXY slightly firmer as is CCI 16:27min Back to top
27-07-2015 Save Very weak stock markets, led down by China, US 10-Yr 2.217, VIX 15.60, Dollar Index weakens to 96.54, commodities weaker with few exceptions 10:11min Back to top
24-07-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 32:07min Back to top
23-07-2015 Save Stock markets mostly easing this week following short-term O/B, US 10-Yr 2.267%, VIX firming 12.64, DXY eases, PMs, crude oil & copper still under pressure 13:54min Back to top
22-07-2015 Save Stock markets mostly weaker after short-term O/B condition, India, Vietnam, China A & Indonesia main exceptions, US 10-Yr 2.327%, VIX 12.10, PMs crude oil weak 16:01min Back to top
21-07-2015 Save Apple earnings up 38% but disappoint, share lower after hours, stk mkt reaction from O/B evident in Europe & Americas, Japan lower on Wednesday, USD softens 16:45min Back to top
20-07-2015 Save Stk mkts, mostly steady in bull trends but short-term O/B, some seasonal headwinds, QE supported mkts doing best, US 10-Yr2.37, VIX 1225, commodities slump 18:42min Back to top
17-07-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities. 40:04min Back to top
16-07-2015 Save Stock markets mostly firm, correcting oversold, liking Greece off the front page and Iran deal, US 10-Yr 2.35%, VIX 12.11, DXY firming in range, commodities mostly weak 12:43min Back to top
15-07-2015 Save Japan, India firm in Asia, China weaker, consolidation of Europe's relief rally likely, USA tech leading to the upside, DXY too strong, US 10-Yr 2.35%, VIX 13.23, PMs & crude oil weak 16:20min Back to top
14-07-2015 Save Japan firm and nearing year's highs, Wall St steady, Biotech Index new highs, US 10-Y 2.397%, VIX 13.37, too strong USD eases, crude oil steady, PMs weak 19:48min Back to top
13-07-2015 Save Stock markets firm on EU-Greece agreement, bond yields rise US 10-Yr2.439, VIX 14.05, Dollar Index firms within range, crude oil eases, soft commodities firmer 16:41min Back to top
10-07-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 34:13min Back to top
09-07-2015 Save China bounces on intervention which steadies global mkts, Europe firms on hope of political resolution of Greek drama, US 10-Yr 2.31%, VIX 19.97, grains firm, oil steadies, PMs weak 11:10min Back to top
08-07-2015 Save Stock markets led lower by China's climactic slide, O/S European indices edge higher US weaker, US 10Yr 2.19, VIX 19.66, DXY ranging, some climactic selling in indu commodities 19:28min Back to top
07-07-2015 Save Stk mkts mixed in Asia, Japan firm, China weak but O/S, Europe weak on Grexit uncertainty, US 10-Yr 2.25%, VIX 16.09, USD firm, commodities mostly weak 18:07min Back to top
06-07-2015 Save Stocks hit by Greece vote & uncertainty, China A, India & Vietnam buck weak trend, US 10-Yr 2.285%, VIX 17, DXY 96.26, crude oil slumps, platinum & palladium weak 16:42min Back to top
03-07-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 24:31min Back to top
02-07-2015 Save Stock markets near lower side of corrective phase, Greek referendum result on Sunday, will set tone for next week, US 10-Yr 2.386%, VIX 17.47, metals oversold, agri firm 13:12min Back to top
01-07-2015 Save Greece continues to dominate headlines but stock markets generally steady, China weak, oil and gold weak, Dollar steady 9:11mins Back to top

June 2015

Audio Date Play Save Content Duration
30-06-2015 Save Stock markets firmer in Asia, led by China, weak in Europe on Grexit fears, small gains in Americas, YS 10-Yr 2.35%, VIX 18.23, DXY 95.53, metals ease, agri commodities soar 15:56min Back to top
29-06-2015 Save Stock markets slump on Grexit / seasonal factors, US 10-Yr 2.33%, VIX 18.85%, Dollar Index reverses early rally, indu commodities & PMs mostly lower, softs higher 12:36min Back to top
26-06-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 33.15mins Back to top
25-06-2015 Save stock markets mostly ease on Grexit impasse & China uncertainty, US 10-Yr 2.407%, Vix 14.01, USD eases, palladium weakens, grain & bean prices extend rallies 15:51min Back to top
24-06-2015 Save Greece still making headlines, stock markets ease, soft commodities firm, government bonds steady, 13.02mins Back to top
23-06-2015 Save Stock markets firm on Grexit avoidance hopes, US 10-Yr 2.408%, VIX 12.11, Dollar Index firmer at 95.43, crude oil & copper gain, gold and silver weaken 16:59min Back to top
22-06-2015 Save Stock markets rebound on probable Greece/EU deal, US 10-Yr 2.37%, USD steady, platinum leads palladium & gold lower, agricultural commodities mostly firmer 16:01min Back to top
19-06-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 36:16min Back to top
18-06-2015 Save Japan & China weaken, India firmer, Europe retraces early losses & mostly rallies, USA firm with new highs for CCMP & RTY, 10-Yr2.33%, VIX 13.19 USD eases, gold $1201 13:19min Back to top
17-06-2015 Save Stock markets mostly firmer in Asia Pacific, easier in Europe on Grexit uncertainty, USA steadier on Janet Yellen's comments, USD lower, US 10-Yr 2.316%, VIX 14.5 10:54min Back to top
16-06-2015 Save China leads most Asian stock mkts lower, Europe & USA steady after early weakness on Grexit concerns, US 10-Yr 2.30%, indu metals weak 10:44min Back to top
15-06-2015 Save Wall Street closes off its low, Europe continues to revert to the mean, Japan steady, commodities weak cocoa excluded, Treasuries unwinding oversold condition 10:21mins Back to top
12-06-2015 Save Big Picture, long-term outlook for stock markets, government bonds, currencies & commodities 23:42min Back to top
11-06-2015 Save Most stock markets extend this week's rally but European gains pared by lack of Greek issue resolution, US 10-Yr T-Bonds downside key after test of 2.50% 12:23min Back to top
10-06-2015 Save Stock markets rebound on probable breakthrough in EU negotiations with Greece, VIX falls 6.8%, US 10-Yr extends gains 2.48%, USD weaker, commodities firmer 19:27min Back to top
09-06-2015 Save Bond yields higher, US 10-Yr 2.438%, stock market correction creating more oversold conditions, USD slightly easier in lengthy consolidation, crude oil leads firmer commodities 15.47min Back to top
08-06-2015 Save Stock markets mostly in corrective phases, US 10-Yr 2.38% ranging sideways to higher, precious & industrial metals still underperforming 18:19min Back to top
05-06-2015 Save Big picture, long-term outlook for global stock markets, government bonds, currencies & commodities 34.16mins Back to top
04-06-2015 Save Equities and commodities weak, China finishes strongly, Dollar and bonds steady 15.26mins Back to top
03-06-2015 Save Bond yields surge, Euro firm, Australian and Asian stock market weak, Japan and China steady, Wall Street inert, oil and gold weak 16.51mins Back to top
02-06-2015 Save US Dollar weak, stock markets ease, China and Japan firm, oil & copper firm 10.06 mins Back to top
01-06-2015 Save China rebounding, Eurozone bond yields rising, Euro weak, oil steady, platinum testing its lows 11;56 Back to top

May 2015

Audio Date Play Save Content Duration
29-05-2015 Save Big picture, long-term outlook for global stock markets, government bonds, currencies & commodities 37.38mins Back to top
28-05-2015 Save China pulls back sharply, Europe and Wall Street ease, Australia and Philippines back to potential areas of support, 12:45mins Back to top
27-05-2015 Save European stocks advance, Wall Street Steady, Yen weak, gold steady, oil weak, bonds steady 13.51mins Back to top
27-05-2015 Save European stocks advance, Wall Street Steady, Yen weak, gold steady, oil weak, bonds steady 13.51mins Back to top
26-05-2015 Save Wall Street weak, China new highs, Yen, Euro, AUD, CAD weak, gold and oil pulling back from their trend means, Treasuries firm 11.11mins Back to top
22-05-2015 Save Big picture, long-term outlook for global stock markets, government bonds, currencies & commodities 38.16mins Back to top
21-05-2015 Save China firms, stock markets generally steady, Pound firm, oil firm, gold eases 11.44mins Back to top
20-05-2015 Save Stk mkts mostly firm in Asia Pacific & Europe, US gains pared by firming USD, US 10Yr 2.258%, DXY 95.468, EUR dips, PMs slightly higher indu metals & softs mostly ease 14:16min Back to top
19-05-2015 Save China leads most stock markets higher, European mkts rally sharply, Wall St flat, US 10-Yr 2.28%, USD strong, EUR weaker commodities mostly fall 14.14min Back to top
18-05-2015 Save Treasuries weak, Wall Street Steady, Dollar firm, Europe finding support in the region of the trend mean, Oil susceptible to consolidation 14:20mins Back to top
15-05-2015 Save Big picture, long-term outlook for global stock markets, government bonds, currencies & commodities 26:32min Back to top
14-05-2015 Save Stock markets firm in Europe & USA, new closing high for S&P, gov bond yields ease, as does Dollar, commodities mostly firm with CCI and CRY higher 14:21min Back to top
13-05-2015 Save Stock markets mixed, bond yields mostly extend rises, US-10-Yr 2.29%, USD weak, Dollar Index 93.65%, gold & silver lead precious metals higher, softs mostly weak 13:57min Back to top
12-05-2015 Save Stock markets mostly weaker, unsettled by the rise in gov bond yields, US 10-Yr 2.245% after high of 2.36% today, USD mostly lower, crude oil & metal prices firm commodities 13:39min Back to top
11-05-2015 Save Stock markets firm in Japan, China & India, mixed to soft elsewhere following Friday's gains, US 10-Yr surges to 2.28%, precious metals weaken 11:43min Back to top
08-05-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 33:47min Back to top
07-05-2015 Save Asia stk mkts weak, Europe mixed, USA slightly steadier, DXY regains half of yesterday's decline, GBP surges on exit polls favouring Tories, crude oil caps rally, metals lower 16:06min Back to top
06-05-2015 Save Stock markets still soft, China, India (now O/S) lower, US pares losses, T-Bond yields surge 2.24% & 3% for 10-Yr & 30-Yr, USD weaker, metals & crude oil lose early gains 18:56min Back to top
05-05-2015 Save Stock markets nervous, China downward dynamics, US 10-Yr 2.1853% in Type-3 base development, DXY testing initial underlying support, indu commodities firm, esp crude oil 22.03min Back to top
01-05-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 42.07mins Back to top

April 2015

Audio Date Play Save Content Duration
30-04-2015 Save Wall Street eases, Russell 2000 at the first area of potential support. Gold weak, oil & copper firm, Japan weak, China steady 9.34mins Back to top
29-04-2015 Save Euro strengthens, Eurozone equities pullback sharply, Dollar weak against a basket of currencies, oil firm, gold steady, gold shares firm. 10.04mins Back to top
29-04-2015 Save Euro strengthens, Eurozone equities pullback sharply, Dollar weak against a basket of currencies, oil firm, gold steady, gold shares firm. 10.04mins Back to top
28-04-2015 Save Dollar weak, commodity currencies bounce, precious metals steady, European shares at risk of mean reversion, Rupee steadies 8.46mins Back to top
27-04-2015 Save China extends advance, India and Indonesia pull back, precious metals steady, Wall Street pauses, Dollar steady 13.49mins Back to top
24-04-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 38:18min Back to top
23-04-2015 Save Stk mkts for Japan, China A firm but O/B, Taiwan & South Korea strong, India eases, EU mostly eases, Americas firmer, US 10-Yr 1.95%, DXY weakens, PMs steady crude oil firm 12:37min Back to top
22-04-2015 Save New highs for Japan Topix & Nikkei, also China A-Shares, India steadies in range, Europe quiet & mixed, US firms towards highs, US 10-yr 1.98%, GBP firms on BoE talk, PMs weak 12:31min Back to top
21-04-2015 Save Stk mkts mostly firm in Asia, led by China & Japan, India eases, Europe mostly steady, DJIA & S&P ease but CCMP firmer, US10-Yr 1.908%, currencies quiet, commodities mostly ease 9:36min Back to top
20-04-2015 Save Wall Street bouncing, oil firm, China weak 7.42 Back to top
17-04-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 38:43min Back to top
16-04-2015 Save Stk mkts firm in Asia/P, esp China, India eases, Europe soft, US eases, also Dollar lower, crude oil steady, CCI Index base building 12:06min Back to top
15-04-2015 Save Stk mkts mixed in Asia, India lower, modest gains in Europe, RTY leads US indices higher, DXY down at 98.379, WTI up out of this year's range at $56, PMs firmer 14:05min Back to top
14-04-2015 Save Stock markets quieter & mixed, HK indices retrace most of Monday's gains, EU indices softer on Greece payments concerns, USD eases, crude oil testing upper side of range 11:06min Back to top
13-04-2015 Save China strong but other stock markets mixed, with US S&P -0.46%, US 10-Yr 1.93%, DXY backs off 99.99%, commodities mostly lower, led by PMs, crude oil slightly higher 10:41min Back to top
10-04-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 36:24min Back to top
09-04-2015 Save Stk mkts generally firm, HSCEI and HSI up but well off early highs, Japan & India steady, Europe firm, Wall St steady, US 10-Yr 1.96%, DXY firm near 99, resources mostly ease Back to top
08-04-2015 Save Hong Kong indices surge, China A-Shares firm but O/B, Japan & India gain, Europe eases, US steady, $ Index (DXY) firms in range, USD down vs India's INR & flat vs CNY, Oil dips 11:06min Back to top
07-04-2015 Save Stk mkts firm in Asia & Eur, led by China, Wall St, up on Monday, could not hold today's opening gains, US 10-Yr 1.89%, USD strong as DXY up to 98, indu commodities rise 7:52min Back to top
02-04-2015 Save Stock markets firm, US 10-yr yield rises to 1.91% but historically low, USD weakens vs most currencies, EUR 1.0883, indu commodities ease, softs mostly firmer - next Audio Tues 7th April 17:50min Back to top
01-04-2015 Save Japan stk mkt eases, China strong, India rallying from MA, Europe steady, Wall St & $ ease, US 10-Yr 1.85%, oil leads commodities higher on Middle East Shia/Sunni tensions 17:18min Back to top

March 2015

Audio Date Play Save Content Duration
31-03-2015 Save Stock markets mostly weaker, esp Europe & Americas, US 10-Yr 1.94%, Dollar Index firm at 98.43, Euro weaker at 1.0737, commodities mostly lower, platinum excepted 15:39min Back to top
30-03-2015 Save Stock markets string today, esp China, only Australia & New Zealand lower among main mkts, US 10-Yr 1.9475%, DXY bounces to 97.96, PMs & most other commodities lower 11:29min Back to top
27-03-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 27:29min Back to top
26-03-2015 Save Stock mkts roiled by Middle East conflict, and general nervousness, esp where mkts such as tech have been very strong, US 10-Yr 1.99%, USD slightly steadier, crude oil firm 17:58min Back to top
25-03-2015 Save Stock markets mostly weaker, esp USA as O/B tech shares reacted sharply with Nasdaq Comp -2.37%, US 10-Yr 1.925%, USD slightly lower, Brent oil firms to $56.48 10:44min Back to top
24-03-2015 Save Stock markets mixed in a quieter day, US10-Yr 1.873%, USD slightly steadier, commodities mixed after recent rally on softer USD 8:55min Back to top
23-03-2015 Save Japan & China strong, other stock markets mostly ease, US 10-Yr 2.90%, weaker USD & DXY down to 97, commodities firmer 14:09min Back to top
20-03-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 30:04min Back to top
19-03-2015 Save Currency volatility increases, stock markets generally steady, European shares susceptible to a somewhat deeper pullback, China firm, 9.43mins Back to top
18-03-2015 Save An all change day - O/B US Dollar slumps, stk mkts mostly firm, US 10-Yr 1.92, O/S PMs & crude oil bounce 13:18min Back to top
17-03-2015 Save Stock mkts mostly firm in Asia/P, profit taking in EU as short-term O/B, US mixed Brazil gains 2.94%, US 10-Yr 2.05%, INR & CNY firm, DXY O/B, PMs, crude oil, grains & beans weak 11:07min Back to top
16-03-2015 Save China A-Shares new recovery high, strong gain in Europe and on Wall St, commodity producers weak, US 10-Yr 2.07%, USD eases, PMs & indu metals ease, coffee O/S & firming 12:26min Back to top
13-03-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 36:53min Back to top
12-03-2015 Save Stock markets firmer, led by Japan & USA, EU shares fractionally lower, US 10-Yr 2.1156%, DXY backs away from psychological 100 level & O/B, EUR O/S, commodities mostly ease 13:43min Back to top
11-03-2015 Save Euro weak, Eurozone indices strong, Wall Street consolidating, precious metals weak, Greek yields rising, German & Italian yields compressing. 1139mins Back to top
10-03-2015 Save Stock markets mostly weaken from previous O/B levels, US exporters hit by strong $, US 10-Yr 2.13%, metals, oil & most soft commodities decline 10:40min Back to top
09-03-2015 Save Mainland China firm but other Asia/P stk mkts weaken, esp India, Europe mostly easier but Germany & Italy firm, US steadies, US 10-Yr 2.19%, firm, CCI Index extends decline 9:35min Back to top
06-03-2015 Save Big picture outlook for stock markets, government bonds, currencies & commodities 31:22min Back to top
05-03-2015 Save Stk mkts mixed in Asia, with China down last 4 days, Europe strong, Wall St steady, US 10-Yr 2.11%, DXY strong, EUR weak, PMs barely steady, oil little changed 14:44min Back to top
04-03-2015 Save Euro weak, Wall Street eases, Europe and China steady, discussion of bond market consistency 11:44mins Back to top
03-03-2015 Save Stock mkt profit taking, esp in Europe, but Wall St halves losses, US 10-Yr 2.1189%, DXY, eases, crude oil firmer, most other commodities ease 7:56min Back to top
02-03-2015 Save Stock markets mostly firm, led by Wall Street's new highs, US 10-Yr 2.08%, USD firm, crude oil backs off recovery highs, 9:40min Back to top

February 2015

Audio Date Play Save Content Duration
27-02-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 39:09min Back to top
26-02-2015 Save Stock markets mostly firm, esp Japan, China & EU on stimulus, India eases ahead of Friday's budget, US 10Yr 2.03%, DXY firm @ 95.264, INR even stronger, grains & PMs steady 11:49min Back to top
25-02-2015 Save Oil bounces, Treasuries extend rally, stock markets generally steady, discussion on the possibility of a bubble developing. 11.44mins Back to top
24-02-2015 Save Stock markets firm, albeit a little overextended in the short term, US 10-Yr declines to 1.974% after Yellen's comments, metals mostly ease 7:46min Back to top
23-02-2015 Save Wall Street "stretched" valuations, Europe, Japan, China playing catch up, oil weak 11.06mins Back to top
20-02-2015 Save Big picture, long-term outlook for global stock markets , government bonds, currencies and commodities 40:48min Back to top
19-02-2015 Save Stock markets mostly steady, Japan & several EU indices extending new recovery highs, US 10-Yr 2.11%, currencies & commodities little changed 9:16min Back to top
18-02-2015 Save Stock markets mostly firm in Asia & Europe, US10-yr 2.08%, DXY firm, as is GBP, crude oil loses $3 on supply, platinum extends downward break 12:47min Back to top
17-02-2015 Save Stock mkts mostly firm, new highs by CCMP, NDX, SPX & RTY in US, US 10-Yr rises again 2.1379%, EUR firms, PMs weak 16:26min Back to top
16-02-2015 Save Asian stock markets mostly firm, Europe eases on lack of agreement with Greek government, US equities closed on holiday, USD steady, commodities, where open, slightly firmer 15:55min Back to top
13-02-2015 Save Big picture long-term outlook for stock markets, government bonds, currencies & commodities 24.01mins Back to top
12-02-2015 Save Stock mkts mostly firmer, esp in Europe and N Amer, CCMP & NDX new highs, US 10-Yr 1.9879%, $ eases, £ firmer, crude oil gains 13:55min Back to top
11-02-2015 Save Stock mkts mostly steady in Asia/Pacific, easier in EU as Greece debt issues still not resolved, Wall St steadies after early losses, US 10-Yr 2.0176%, USD firm, PMs & oil weaker 12:55min Back to top
10-02-2015 Save Stock mkts mostly firmer, India & China steady & O/S, US 10-Yr 2%, USD firm, commodities mostly lower, esp crude oil 12:44min Back to top
09-02-2015 Save Stock mkts mixed, India slips in O/B correction & New Delhi election concerns, Thai mkt firm, Europe eases on Grexit fears, Wall St eases near range highs, silver & gold steady 12:30min Back to top
06-02-2015 Save Big picture long-term outlook for stock markets, government bonds, currencies & commodities 35:43min Back to top
05-02-2015 Save Stock markets mixed but Wall St firm in the upper-middle portion of recent ranges, US 10-Yr 1.815%, USD eases, EUR, GBP, AUD & INR firmer, commodities mixed but crude oil gains. 12:17min Back to top
04-02-2015 Save Stock markets mixed, Japan higher, Wall Street loses early gains, US 10-Yr 1.75%, DXY firmer, PMs slightly higher, crude oil weakens, as do many other commodities 12:15min Back to top
03-02-2015 Save Stock markets mostly higher, esp strong in China, Europe, Americas & resources. US 10-Yr 1.79%, USD weakens, previously oversold commodities surge on short covering 14:16% Back to top
02-02-2015 Save Stock markets mixed in Asia, mostly higher in Europe & Wall Street's late rally regains most of Friday's losses, DXY eases, CNY weakening again, INR steady, oil firm on short covering 16:11min Back to top

January 2015

Audio Date Play Save Content Duration
30-01-2015 Save Big picture long-term outlook for stock markets, government bonds, currencies & commodities 32:52min Back to top
29-01-2015 Save Japan, China ease, India new highs, Europe steady, Wall St firmer after indices test lateral trading, USD firm, AUD weak, silver leads PMs lower, copper weak, oil quiet in narrow ranges 10:18min Back to top
28-01-2015 Save oil hit a new low, Wall Street weak, bonds firm, technology shares steady 11:03mins Back to top
27-01-2015 Save Japan, India firm in mostly in form Asia/P but China eases, Europe lower on Greece concerns, Wall St weaker on earnings outlook, PMs & crude firmer, copper weak 12:57min Back to top
26-01-2015 Save Stock markets mixed in Asia/P, firm in Europe, US a fraction higher, USGG10Yr 1.826%, USD steady, CNY weakens, PMs & oil ease 12:31min Back to top
23-01-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies and commodities 28.28mins Back to top
22-01-2015 Save Stock markets firm on ECB's QE, gov bonds quiet, DXY strong but mostly against Euro, precious metals strong, led by silver but O/B, crude oil drifts agri commodities lower 15:19min Back to top
21-01-2015 Save Canada cuts rates, Japan maintains stimulus, ECB's decision on QE tomorrow, China & India firm, oil steady 11 mins Back to top
20-01-2015 Save Stock markets generally firm, gov bond yields ease, DXY above 93, Yen slips to 118.72 & Euro 1.15 vs USD, precious metals firm, crude oil lower 13:42min Back to top
19-01-2015 Save Wall St closed, Asia Pacific mkts mostly higher but China falls sharply, led by stock brokers in move against excessive margin trading, crude oil eases, as do PMs 8:14min Back to top
16-01-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies and commodities 38:34min Back to top
15-01-2015 Save Stock mkts surge in Asia/P, esp India & China, firm in Europe, Wall St loses early gains, US 10-Yr gov 2.71%, Swiss Franc surges, gold strong, grains & beans weaken 13:11min Back to top
14-01-2015 Save Stock mkts weak in choppy trading, gov bond yields decline, DXY eases, crude oil bounces, copper leads industrial metals lower, gold & silver lose early gains 18:35min Back to top
13-01-2015 Save Stock mkts mixed in Asia, China steady, strong in Europe, but Wall St lost strong early gains, gov bond yields ease, DXY firm, oil 2$ off new lows, copper weak 11:10min Back to top
13-01-2015 Save The Markets Now, David Fuller on Opportunities and Risks for Financial Markets In 2015's Changing Environment 63min Back to top
12-01-2015 Save volatility increasing, oil remains weak, commodities weak 11.18mins Back to top
09-01-2015 Save Big picture, long-term outlook for stock markets, government bonds, currencies & commodities 22:35min Back to top
08-01-2015 Save Stock markets very firm, mainland China excepted, gov bond yields edge higher, US Dollar Index firm but O/B at 92.327, euro extends decline, Indian rupee firms, oil O/S 13:46min Back to top
07-01-2015 Save Stock markets firmer, mildly O/S, US 10-Yr 1.967% and global gov bond mostly O/B on exaggerated deflation concerns, DXY O/B, PMs ease 13:24min Back to top
06-01-2015 Save Stock markets weak, aside from China, Mexico & Brazil, Wall St closes off lows, US 10-Yr 1.94%, DXY 91.74 EUR 1.187, gold & silver lead PM firmness, crude oil $2 lower 16:19min Back to top
05-01-2015 Save Stock markets weak, China excepted, on various concerns from oil to GDP growth, US 10Yr 2.037%, USD gains again, crude oil slumps, gold, silver & grains firm, indu metals weak 15:18min Back to top
02-01-2015 Save Big picture, long-term outlook for global stock markets, government bonds, currencies & commodities 46:32min Back to top