1007 Episodes

  1. USD fights back. Sterling in focus on Brexit talks deadline.

    Published: 14/10/2020
  2. US stock market acceleration: destabilizing like last time?

    Published: 13/10/2020
  3. Market guns for stimulus, China taps brakes on CNY

    Published: 12/10/2020
  4. Special Edition: Q4 2020 Outlook - The US election and everything gone all K-shaped

    Published: 9/10/2020
  5. The market sees the glass as half full.

    Published: 9/10/2020
  6. Market in a happy place. Wheat hits multi-year highs.

    Published: 8/10/2020
  7. Trump tweet storm against further stimulus talks sets markets on edge

    Published: 7/10/2020
  8. Yield spike demands our full attention

    Published: 6/10/2020
  9. Earnings fundamentals, inflation and Trump's health

    Published: 5/10/2020
  10. Trump tests positive for Covid-19, hitch in reflation narrative

    Published: 2/10/2020
  11. Are US yields on the move? Grains certainly are.

    Published: 1/10/2020
  12. Risk sentiment slumps after first Biden-Trump debate

    Published: 30/09/2020
  13. US stimulus hopes boost stocks. Biden-Trump debate on tap.

    Published: 29/09/2020
  14. Lingering concerns below the surface

    Published: 28/09/2020
  15. Market bounces on (overrated?) US stimulus hopes

    Published: 25/09/2020
  16. Ugly mood returns, and USD spike hits EM and gold

    Published: 24/09/2020
  17. USD breaks higher, Gold lower, Tesla Battery Drain

    Published: 23/09/2020
  18. Watch USD as guide to risk rebound

    Published: 22/09/2020
  19. Risk sentiment fragile, Nikola bombshell, JPY ripping higher

    Published: 21/09/2020
  20. Unity IPO on tap. Crossfire for GBP traders.

    Published: 18/09/2020

46 / 51

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

Visit the podcast's native language site