Since the failure of Silicon Valley Bank, investors are closely watching how stress in the financial sector is spreading through markets and the economy. With First Republic Bank and Credit Suisse making headlines, policymakers are examining what they can do to steady markets and restore confidence. So, has the fallout been contained? And what does this all ... Show More
Mar 2
Oil Market Impacts from Iran
Goldman Sachs Research’s Daan Struyven, co-head of Global Commodities Research and Head of Oil Research, discusses how the strikes in Iran could affect the oil market, commodities, and energy prices. This episode was recorded on March 2nd, 2026. The opinions and views expressed h ... Show More
13m 9s
Jan 2021
The Download: What’s ahead for Canadian banks?
While challenges remain in the near term, leaders of the country’s top banks agree that a rebound is likely on the horizon, with vaccines playing an ever-important role. What other factors are impacting Canada’s financial sector? Stu Kedwell, Co-Head, North American Equities, rec ... Show More
6m 38s
May 2023
Vishy Tirupattur: Liquidity, Regional Banks and Potential Regulation
<p>As the banking sector is in the news again, investors wonder about an increase in borrowing from the Fed and possible restrictions on the horizon.</p><p><br></p><p>----- Transcript -----</p><p>Welcome to Thoughts on the Market. I'm Vishy Tirupattur, Morgan Stanley's Chief Fixe ... Show More
3m 9s
Jul 2023
How institutional investors are navigating market crosscurrents
Explaining how crosscurrents in financial markets are impacting how institutional investors allocate assets, Elizabeth Burton, client investment strategist in the Client Solutions Group in Goldman Sachs Asset Management, joins our latest episode of The Markets, a new weekly podca ... Show More
10m 35s
Jan 2021
#97 What can investors learn from stock market bubbles?
This week, we discuss stock market bubbles and what investors can learn from them with Nicky Eggers (Head of Investments), Rob Smith (Head of Behavioural Finance), and Will Hobbs (Chief Investment Officer).
You can also follow us on LinkedIn for more Barclays investment updates - ... Show More
24m 55s
Aug 2020
Westwood's Helfert: Don't fight central banks, ride the trend
Adrian Helfert, portfolio manager for the Westwood Income Opportunity Fund, says that while investors might be nervous about the economy and the potential for a downturn, they should go along with the market's trends and not fight the central bankers who have been fueling the reb ... Show More
59m 27s
Apr 2023
What Commercial Real Estate Stress Means for Banks and Bond Funds
In the last month or so, two macro risks have become top of mind for investors. One is the stability of regional banks. The other is the weakness in the commercial real estate market. On some level, they're separate stories, but they're also linked, since regional banks tend to d ... Show More
47m 42s
Nov 2022
Private Markets: Uncertainty in the Golden Age
<p>Over the last decade private markets have outperformed versus public markets, but given the recent public market volatility, will private markets continue to attract investors? Head of Brokers, Asset Managers, and the Exchanges Team Mike Cyprys and Head of European Asset Manag ... Show More
6m 48s
<p><br></p><p>Against the backdrop of volatility in the banking sector, tightening in consumer and commercial credit may have far-reaching impacts for economic growth.</p><p><br></p><p>----- Transcript -----</p><p><br></p><p>Welcome to Thoughts on the Market. I'm Vishy Tirupattur ... Show More