US Reporting Season Wrap-Up & Its Impact on Australia

Last update - 20 February 2025 By James Woods

As the latest US reporting season comes to a close, investors are analyzing key earnings trends, economic shifts, and political developments that could shape global markets.

With interest rate decisions, inflation data, and policy changes driving volatility, how will these factors impact the Australian economy and investment landscape? In this webinar our expert Portfolio Manager, James Woods breaks down the key takeaways from US reporting season, assesses economic and political shifts, and explores what this means for Australian investors. Gain valuable insights to help position your portfolio for the months ahead.

This webinar covers the following topics:

1. US Reporting Season Recap
2. Key Trends and Themes: How major sectors performed (tech, finance, energy, consumer goods, etc.)
3. Standout Earnings Reports: Winners & Losers of the Season
4. Economic & Political Developments in the US: Interest Rates, Inflation and More.
5. Opportunities and Risks for Investors
6. Q&A

Important Notice:

Rivkin does not ever provide personal financial advice. Please consider your own circumstances before purchasing any of our products or acting on our general advice, for any Rivkin product or recommendation.

Past performance is not a guarantee of future performance. Investing and trading carry financial risk, when judging performance please consider the different types of investments and levels of risk associated.

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