In September 2015 we presented an update on the Australian and global economic situation and the current state of financial markets to our clients. We discussed the market volatility which has been a factor in recent months. We highlighted the causes of the increased volatility, being the ongoing Greek debt saga, concerns over slowing Chinese economic growth, the prospect of rising interest rates in the United States, and finally, the somewhat weak state of the Australian economy. To view the slides discussed during the function please see below.