The nearly 15% euro-dollar rally in 1H was fueled largely by dollar weakness and a potentially bullish cyclical case for the euro — especially expectations for a supportive fiscal and monetary policy mix — which may continue to support the outlook into 2H. Bloomberg Intelligence’s Chief G10 FX Strategist Audrey Childe-Freeman talks to Constantin Bolz, head o ... Show More
Yesterday
Investor Survey, Trade War and Dollar, 2H Outlook: Credit Crunch
Credit and high yield had a good 1H, shaking off tariffs and a spread rout with a strong recovery. Will 2H be as strong, and why? Thomas Samson, high yield portfolio manager at Muzinich & Co., joins Mahesh Bhimalingam, Bloomberg Intelligence’s global head of credit strategy, on t ... Show More
38m 58s
Jul 3
Rates Volatility With Quadratic’s Davis: All Options Considered
Rates volatility has compressed with the Fed on hold and mean reversion of yields, but exhibited a bumpy path in 1H. In this edition of the All Options Considered podcast, BI’s chief global derivatives strategist Tanvir Sandhu is joined by Nancy Davis, founder of Quadratic Capita ... Show More
12m 54s
Jun 26
Stablecoins’ Appetite for T-Bills, ESLR Reform: Macro Matters
There will almost certainly be some stress later this year in funding markets, but it might fall short of the level required for the Federal Reserve to step in, Will Hoffman, Bloomberg Intelligence senior associate for US and Canadian rates strategy, says on this Macro Matters ed ... Show More
20m 3s
Aug 2024
Talking Heads – How to lock attractive interest rates for fixed periods
In this episode, CMO Pieter Oyens talks to Daniel Morris, Chief Market Strategist, about fixed maturity plans which allow investors to lock in short-term interest rates for three, five or seven years, thus enshrining a regular flow of coupon payments by investing in a well-divers ... Show More
5m 23s
Apr 11
The Psychology of Trump, of You, and of Markets
Today's Post - https://bahnsen.co/42qYsnP
Navigating Severe Market Volatility: Insights from Dividend Cafe
In this episode of Dividend Cafe, the host delves into strategies for handling severe market volatility amidst four-digit market declines triggered by the Trump administrati ... Show More
19m 8s
Apr 2024
A New Perspective for Credit Investors
Today’s credit markets offer investors an unprecedented range of risk and return opportunities, but also greater complexity that makes it challenging to allocate capital efficiently. In this special edition SIAG episode, David Lebovitz, Global Strategist, Multi-Asset Solutions, t ... Show More
18m 29s
Mar 2025
Talking Heads – Time to unearth value stocks and diversify
Investment decisions have centred on growth for years, but the current setting of uncertainty, geopolitical turmoil and high volatility argues for a renewed focus on ‘value’. Carmine tells Chief Market Strategist Daniel Morris that in value investing, investors should take into a ... Show More
7m 51s