1007 Episodes

  1. Market trying to get Santa rally back on the rails

    Published: 7/12/2021
  2. Hot economic data and low bond yields

    Published: 6/12/2021
  3. Destruction unfolds beneath the surface in equities

    Published: 3/12/2021
  4. US market closing in on capitulation levels

    Published: 2/12/2021
  5. Hawkish broadside from Powell roils markets further

    Published: 1/12/2021
  6. Absurd headline risk for now as risk conditions are deteriorating

    Published: 30/11/2021
  7. Knee-jerk conclusions are a dangerous thing

    Published: 29/11/2021
  8. This couldn‘t have come at a worse time

    Published: 26/11/2021
  9. Special Edition: Brent Donnelly of Spectramarkets

    Published: 25/11/2021
  10. Temporary relief as dark clouds are gathering

    Published: 25/11/2021
  11. The unbearable sensitivity to rising yields

    Published: 24/11/2021
  12. A climax reversal for equities after Powell gets nod for a second term

    Published: 23/11/2021
  13. US Thanksgiving week features key Wednesday event risks

    Published: 22/11/2021
  14. Special Edition: The big picture w/ Steen Jakobsen

    Published: 19/11/2021
  15. Divergences suggest at least tactical correction risk

    Published: 19/11/2021
  16. Time to take off some risk

    Published: 18/11/2021
  17. Watching whether Euro crisis waxes existential

    Published: 17/11/2021
  18. USD rally extension would be a big problem.

    Published: 16/11/2021
  19. Lower real rates support TINA narrative for stocks

    Published: 15/11/2021
  20. Special Edition: Equity investing with Conor MacNeil

    Published: 12/11/2021

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