Reporting season recap: Decoding market dispersions

Australia’s reporting season has surfaced unprecedented share price dispersion, challenging conventional approaches to portfolio construction and risk management. In this special Sounds Bites episode, our expert panel dissects the driving forces behind extreme market outcomes—including macro shifts, valuation dynamics, and the influence of AI—while spotlighting sector rotations and performance across key asset classes.

 

Our Australian equities specialists explore:

  • The causes and consequences of heightened price dispersion in the ASX 2025 reporting cycle, and its impact on benchmark-relative positioning
  • How quant flows and macro-driven momentum are redefining risk and opportunity across financials, resources, and growth sectors
  • The market’s buoyant sentiment, characterised by high-quality momentum and fewer low-valuation stocks
  • The robust performance across small- and mid-cap sectors, highlighting the broadening of that market 

Our speakers:

Apple podcasts     Spotify

 

 

This episode was recorded 2 September 2025.