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Buy Hold Sell is a fast-paced business and investing podcast, bringing you stock tips and investment ideas every Friday and every second Monday. Join us as we quiz Australia’s top fund managers and investment analysts on a range of local and global stocks, as well as ETFs. Learn about the forces moving equities markets, the potholes you should avoid, and the companies going from strength to strength - all in 10 minutes or less. Whether you are new to investing or a seasoned professional, this podcast will get you thinking differently about markets.
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Wednesday Nov 11, 2020
Stars and gripes: 2 standout stocks and a sector to avoid post US election
Wednesday Nov 11, 2020
Wednesday Nov 11, 2020
The anticipated blue wave carrying Joe Biden to the US presidency may have been overstated but history suggests a divided government is no bad thing for markets. And while Big Tech is a clear winner if governance is restrained and the Biden administration has its hands tied on issues like antitrust and privacy, Healthcare will not be far behind with the prospect of intense government scrutiny also fading.
However, Bob Desmond, Head of International Equities at Evans and Partners and Joe Magyer, Chief Investment Officer at Lakehouse Capital, are avoiding the energy sector. A Republican-controlled Senate will likely block green-energy policies while fossil-fuel stocks will continue to face headwinds.
In this thematic, Bob and Joe provide more detail on the US Election, including their top stock picks.
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