
Episode 261
ASX winners and losers, and what war in Iran means for investors
March 6, 202629m 6s
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Show Notes
February reporting season generated unprecedented volatility, offering opportunities and risks for investors. But does any of it matter when geopolitical risks threaten global markets like they have this week?
Atlas Funds Management’s Hugh Dive joins the podcast to discuss:
- The standout performers from reporting season
- Three stocks that have fallen hard - but may keep falling
- Why markets remain dangerously optimistic, and
- The stocks and sectors to watch if war in the Middle East escalates