logo
episode-header-image
Mar 2025
8m 49s

Buy the dip in US equities?

GOLDMAN SACHS
About this episode
After a rough week for US stocks, should investors buy the dip – or look for opportunities in global markets? Rich Privorotsky, head of European One Delta Trading in Goldman Sachs Global Banking & Markets, discusses with Chris Hussey. Learn more about your ad choices. Visit megaphone.fm/adchoices 
Up next
Oct 3
Hidden Volatility
The S&P 500 has enjoyed a remarkably steady rise, but under the surface, the action has been much choppier at the single-stock level. What does this dynamic mean for investors, and where are the best opportunities now? Brian Garrett, head of equity execution on the Cross Asset Sa ... Show More
8m 46s
Sep 26
A Contrarian Call on Europe
After a stunning rally for US stocks, can investors find better opportunities in other markets? Mark Wilson, Head of Equities Franchise Sales in Global Banking & Markets, discusses with Chris Hussey. Recorded on September 24, 2025. The opinions and views expressed herein are as o ... Show More
10m 30s
Sep 19
Will Fed Cuts Drive Stocks Higher?
What should investors take away from Wednesday’s rate cut – and how are US equities likely to respond from here? Tony Pasquariello, Global Head of Hedge Fund Coverage in the Global Banking & Markets division, discusses with Chris Hussey on the Goldman Sachs trading floor. Recorde ... Show More
10m 23s
Recommended Episodes
May 2025
Equity risks and alts opportunities
US stocks have rebounded since the sweeping tariffs announced on "Liberation Day,” but what does this mean for investors? In Goldman Sachs Exchanges, Goldman Sachs’ David Kostin, chief US equity strategist, and Padi Raphael, global co-head of the Third Party Wealth Management in ... Show More
19m 11s
Jul 11
Market Volatility: Is Your Investment Portfolio Ready for a US-EU Trade Deal?
Michael Field, European Market Strategist at Morningstar Holland, talks about tariff risks for key sectors and European stock performance as market volatility persists. On this episode:President Trump pushed his tariff deadline from July to August. How are global markets reacting ... Show More
15m 52s
Oct 2024
Investing in the European Market Over the US?
This week, Sim and Maia dive into whether it's smarter to invest in European markets or stick with the US market. They compare the performance of the S&P 500 and Europe's leading stock indices, highlighting how the US has outperformed in recent years, while European markets offer ... Show More
23m 29s
Jun 2025
Is the International Outlook Brighter Than the US?
Two Morningstar research leaders join Investing Insights to discuss whether US investors should consider international stocks and fixed income. They are Dominic Pappalardo, chief multi-asset strategist, and Philip Straehl, chief investment officer for the Americas, for Morningsta ... Show More
18m 54s
Aug 2024
Recession or slowdown? Navigating uncertainty​
Ben Thompson, Head of EMEA Leveraged Finance Capital Markets, hosts Jonathan Butler, Head of European Leveraged Finance and Co-Head of Global High Yield Strategy at PGIM Fixed Income, to unpack the global leveraged finance market. They discuss central bank policies, geopolitical ... Show More
11m 40s
Sep 26
184. Quarterly Earnings: OUT?! Plus Trump's H1-B Shock, and Should We Ditch the Fed Funds Rate?
Send us a textThis week on The Skinny on Wall Street, Kristin and Jen tackle three headlines where markets and policy collide. First up: Trump’s call to shift public companies from quarterly to semi-annual earnings reporting. We lay out the real trade-offs—less bureaucracy and “s ... Show More
44m 46s
Aug 8
Market Volatility: Investors Are Seeking Safety in Gold ETFs. Is It Working?
Investors are piling into global gold ETFs for a safe haven from uncertainty. Demand surged in the first half of 2025, according to a new report from the World Gold Council. The industry trade group points to geopolitical turmoil, global trade policies, and higher gold prices for ... Show More
12m 25s
Sep 25
#341 Could this time be different?
This week, Francis Addai talks to Miles Sherry about US equity markets and the US dollar. Is now the time for investors to shift exposure from the US to Europe? And what are the implications of US dollar weakness for UK investors? To read news and insights from Barclays Wealth Ma ... Show More
14m 52s
Sep 2024
US markets down on weak jobs report, week ahead preview
Join OANDA Senior Market Analysts & podcast guest Nick Syiek (TraderNick) as they review the latest market news and moves. MarketPulse provides up-to-the-minute analysis on forex, commodities and indices from around the world. MarketPulse is an award-winning news site that delive ... Show More
13 m
Aug 20
176. Chamath's New SPAC (Detailed Breakdown) Plus Europe’s Yield Curve Warning
Send us a textThis week on The Skinny on Wall Street, Kristen and Jen dive into the resurgence of SPACs and yes, Chamath Palihapitiya, the once-dubbed “SPAC King,” is back with a brand-new deal. We unpack what a SPAC really is, why they exploded in 2020, changes in the new struct ... Show More
50m 27s