logo
episode-header-image
Jul 2024
1h 3m

US Treasuries to Bond Market Portfolio W...

Bloomberg
About this episode

Barry Ritholtz speaks to Gregory Peters, co-chief investment officer of PGIM Fixed Income and a co-head of the firm's multisector team. Prior to joining PGIM in 2014, Peters was Morgan Stanley's global director of fixed income & economic research and chief global cross-asset strategist. He previously worked at Salomon Smith Barney and the US Treasury Department. Peters is a member of the Fixed Income Analyst Society and the Securities Industry and Financial Markets Association. 

See omnystudio.com/listener for privacy information.

Up next
Feb 13
Why a Joint Account Can Be a Sign of Healthy Marriage
Barry speaks with Douglas and Heather Boneparth. Doug is the president of Bone Fide Wealth and Heather is the firm’s Director of Business and Legal Affairs and Chief Compliance Officer. They also discuss their new book Money Together. They discuss the challenges couples can face ... Show More
1h 1m
Feb 11
BONUS: NY Comptroller Candidate Drew Warshaw on Changing the NY State Pension Funds
On this special, bonus episode, Barry speaks with Drew Warshaw, Democratic Candidate for New York State Comptroller. They discuss his role in building the World Trade Center after 9/11. his career in alternative energy, and running for NY Comptroller. They dive into his thoughts ... Show More
59m 27s
Feb 6
Unconventional Real Estate Investments: Masters in Business with Bob Moser
Barry speaks with Bob Moser, Owner, Principal and CEO at Prime Group. They discuss his early career in real estate and his current holdings. They focus on his investments in self-storage assets and how non-traditional real estate is essential to his investment strategy. Barry and ... Show More
49m 26s
Recommended Episodes
May 2025
Morgan Stanley’s Khanduja on Bond Risk Reward
After a turbulent couple of months with significant spread widening and subsequent tightening, corporate bonds may remain under threat through year-end. In this episode of Inside Active, Bloomberg Intelligence’s mutual fund and active management analyst David Cohne and corporate ... Show More
30m 28s
Jul 2024
Inflation Shifts and the Bond Market Response
Amid global market volatility and potential economic shifts, understanding inflation's impact on bond markets is pivotal for informed investing. This episode delves further into this topic with a focus on developed markets such as the U.S. and Eurozone, exploring the potential pa ... Show More
18m 20s
Mar 2022
David M. Solomon CEO of Goldman Sachs
<p>In this episode, Nicolai Tangen talks to David Solomon, CEO of Goldman Sachs. They discuss the highly competitive financial services industry and how to attract the best talents and give their view on the equity market.&nbsp;They also discuss culture, leadership, inflation and ... Show More
32m 23s
Dec 2024
A perfect setup for the financial sector?
Financial services firms are facing one of the most constructive backdrops in years, helped by a steepening yield curve, an expected recovery in the capital markets, and a potential easing of regulations under a second Trump administration, say Goldman Sachs Research’s Richard Ra ... Show More
26m 12s
Sep 2024
RANE Insights: Special Episode for the 2024 RANE & NASDAQ Risk Summit: Fireside Chat with Jim Nadler and Van Hesser
<p>In preparation for RANE and Nasdaq’s upcoming summit on September 9th, RANE founder and chief collaborative officer David Lawrence is sitting down with a number of industry leaders to discuss major compliance, security, and geopolitical issues that are top of mind for global o ... Show More
59m 22s
Apr 2025
Goldman Sachs CEO David Solomon Talks Markets
Goldman Sachs Group Inc. Chief Executive Officer David Solomon said he believed that activity in mergers and public listings will find a comfortable level despite uncertainty that’s led to a slowdown across investment banks. He is joined by Bloomberg's Francine Lacqua.See omnystu ... Show More
17m 26s
Aug 2025
The Fed Cut Playbook
With a September rate cut looking increasingly likely, where are the opportunities in bond, currency, and equity markets? Josh Schiffrin, Chief Strategy Officer and Head of Financial Risk for Goldman Sachs Global Banking & Markets, discusses with Mike Washington on the Goldman Sa ... Show More
10m 22s
Sep 2025
Closing Bell Overtime: Fed Meeting Eve: Retail Bonds Brace for Policy Decision 9/16/25
<p>Schwab Asset Management CEO Omar Aguilar and Carson Group Chief Market Strategist Ryan Detrick analyze markets ahead of the crucial Fed meeting. Cowen Senior Retail Analyst Oliver Chen breaks down retail sales data. Wellington Management Fixed Income Portfolio Manager Brij Khu ... Show More
43m 30s
Mar 2025
JPMorgan Sees Credit Risks Rising as Trade War Bites
Fundamental and technical pressures on credit markets are growing as trade wars escalate, according to JPMorgan Asset Management. “We just need to be paid a little bit more for the uncertainty risk now in the market,” says Lisa Coleman, the firm’s head of global investment-grade ... Show More
44m 17s
Dec 2024
Nasdaq CEO: Tech Innovation, Leadership and Fighting Financial Crime
<p>Meet the woman leading the exchange where $30 trillion in market value trades. Adena Friedman takes us behind the scenes at Nasdaq, revealing how this iconic institution is reshaping global finance through technology. Discover how Nasdaq is fighting trillion-dollar financial c ... Show More
38m 54s