1007 Episodes

  1. Equities throwing down the gauntlet, how will Fed respond?

    Published: 15/08/2022
  2. US yields jump, capping complacency

    Published: 12/08/2022
  3. Soft CPI revives risk rally, but treasury reaction creates dissonance.

    Published: 11/08/2022
  4. When is the great disinflation bet derailed?

    Published: 10/08/2022
  5. Bears finally get a hook

    Published: 9/08/2022
  6. The market is not for turning

    Published: 8/08/2022
  7. Market complacency and the 2008 parallels.

    Published: 5/08/2022
  8. Market is not ready for stagflation

    Published: 4/08/2022
  9. Yield pop elicits complacent shrug from equities

    Published: 3/08/2022
  10. Taiwan tensions and a possible market pivot

    Published: 2/08/2022
  11. Financial conditions in the driver’s seat

    Published: 1/08/2022
  12. Careful what you wish for, market.

    Published: 29/07/2022
  13. Market indulges in risk-on after weak Powell pushback

    Published: 28/07/2022
  14. Leaning against the market’s lean into FOMC

    Published: 27/07/2022
  15. VIX below 25 with this backdrop? You must be kidding...

    Published: 26/07/2022
  16. Huge week ahead on earnings and Fed guidance

    Published: 25/07/2022
  17. USD breakout, commodities plunging, and equities love ’junk’

    Published: 6/07/2022
  18. RBA hikes and inflation trades are back

    Published: 5/07/2022
  19. Recession fears are pulling commodities and bond yields lower

    Published: 4/07/2022
  20. Diving commodities prices the driver.

    Published: 1/07/2022

23 / 51

Saxo Bank's strategy team delivers market insights across all asset classes.

Visit the podcast's native language site