Australian reporting season officially commences on the 1st August, concluding Friday 29th August, though some companies will report outside of that window.
Markets enter FY26 near record highs, but elevated tariffs, geopolitical tensions, and uncertainty around interest rates mean investors shouldn’t get complacent.
FY25 Review: Markets Close FY25 with Strength Despite Policy and Geopolitical Headwind
Markets closed FY25 near record highs after rebounding from an April correction. Tariff relief, resilient earnings, and easing inflation drove the recovery — but risks remain.
What might the proposed changes to Superannuation actually mean?
The new Division 296 tax targets super balances over $3 million, applying an extra 15% tax on earnings — including unrealised gains. We break down how it works, who it affects, and the strategic decisions investors may need to consider.
A global fund manager offering growth and a ~10% yield
Despite recent underperformance, GQG Partners continues to attract strong inflows — a rare feat in funds management. With a defensive portfolio and a compelling ~10% yield, it stands out among global managers. We break down why GQG is now on our Income Portfolio watchlist.