Fund Manager, Meryl Pick, talks latest market activity with The Money Show’s Arabile Gumede

Loading player...
Meryl Pick discusses the market turmoil that started off the week and whether this is the correction the market has been expecting – following a period of sustained buoyancy – as well as the state of the banking, resources and construction sectors and where investors are likely to find long-term outperformance.

Thanks for listening! Follow us on Linkedin.
Chapters
  • 00:14 Discussing corrections in the markets
  • 03:17 The impact of the banking scandal from the Far East and Europe
  • 05:15 Which sectors are doing well?
  • 08:20 Summary of market performance
22 Sep 2020 English South Africa Business

Other recent episodes

TOMORROW 2020 - Podcast Series

This compilation of podcasts is from interviews and recordings with contributors to TOMORROW 2020 – an annual thought leadership publication on all things related to responsible investing and green growth. To navigate to the topic or episode of your choice, go to CHAPTER MARKERS and click on the time indicator…
19 Apr 2021 1 hr 05 min

Market Moves and Portfolio Positioning - MacroSolutions Perspectives

Peter Brooke reflects on August as an interesting month for trends seen in Tesla leading the NASDAQ down on the back of the US and tech sector underperforming. In terms of our portfolios, we’ve tilted towards value in reflecting some of these extreme moves. Locally taking some profit in Naspers…
22 Sep 2020 3 min