1007 Episodes

  1. Europe under (too much?) pressure. Understanding the ruble exchange rate.

    Published: 1/04/2022
  2. Fed credibility on the line. Financial conditions are both tight and loose.

    Published: 31/03/2022
  3. Last chance saloon for Nasdaq 100 bears?

    Published: 30/03/2022
  4. The Fed vs. Market showdown is now fully engaged

    Published: 29/03/2022
  5. Yield rise accelerates. When do the consequences arrive?

    Published: 28/03/2022
  6. Quarter end rushing into view as markets at tipping point

    Published: 25/03/2022
  7. The 1994 Greenspan Fed versus the 2022 Powell Fed

    Published: 24/03/2022
  8. A dangerous game.

    Published: 23/03/2022
  9. Until something breaks...

    Published: 22/03/2022
  10. Pivotal week ahead after massive bear squeeze last week

    Published: 21/03/2022
  11. Massive options witching today to see market pivot?

    Published: 18/03/2022
  12. Fed waxes hawkish, short squeeze continues

    Published: 17/03/2022
  13. This market is deep in la-la land

    Published: 16/03/2022
  14. The ”everything is falling” market

    Published: 15/03/2022
  15. Challenging week ahead with FOMC and Ukraine risks

    Published: 14/03/2022
  16. ECB turns hawkish, US CPI gallops, and Chinese tech skids

    Published: 11/03/2022
  17. Risk sentiment rips ahead of ECB

    Published: 10/03/2022
  18. Ripple effects from commodities volatility continue

    Published: 9/03/2022
  19. US capitulation, Nickel madness, EU joint debt blast

    Published: 8/03/2022
  20. Commodity price spike risks financial crisis and recession

    Published: 7/03/2022

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