logo
episode-header-image
Jul 2025
9m 56s

Viewpoints with Burkhard Varnholt - A gl...

CLIENT STRATEGY OFFICE
About this episode
On this week’s episode of Viewpoints, Burkhard weighs whether investors are entering the summer season with a sense of complacency as markets hover near all-time highs despite persisting uncertainty. We also touch on the prospects for Fed rate cuts in the coming months and the implications of the implementation of “curve control” to investors and global mar ... Show More
Up next
Apr 2025
Viewpoints with Burkhard Varnholt - A global markets podcast (Ep. 32)
How much longer will uncertainty last, and where might it all settle? Burkhard weighs in as investors continue to navigate everything from policy pivots to Fed independence to inflation, and much more. Plus, thoughts on how investors should react to a market recovery (or a deeper ... Show More
11m 53s
Dec 2023
Top of the Morning: Year Ahead - Equities edition
Our series of year ahead conversations continues as we focus on an outlook for equities and where opportunity can be found. Featured is David Lefkowitz, Head of Equities Americas, UBS Chief Investment Office. Host: Daniel Cassidy 
17m 36s
Nov 2023
Macro Monthly Podcast with UBS Asset Management
Hear from top investment professionals from the UBS Asset Management’s Multi-Asset Team, this month featuring Evan Brown, Portfolio Manager and Head of Multi-Asset Strategy, and Enrique Davila, Multi-Asset Investment Specialist. 
19m 14s
Recommended Episodes
Apr 2025
Tariffs Crush Global Markets… And Volatility Swings Ahead Of Tomorrow’s Jobs Report 4/3/25
<p>Stocks are tumbling as tariffs take their toll, but will this cause the markets to reset? We’ll break down the impact on retail, international reaction, and what investors can expect in the coming weeks. Plus what to expect out of tomorrow’s jobs report, as volatility spikes a ... Show More
49m 12s
Sep 2024
Financial Markets Back on the Brink of Collapse - Ep 978
<p>Market Turmoil &amp; Economic Uncertainty: A Deep Dive into Non-Farm Payroll Report and Fed Policies</p><p><br></p><p>In this episode, we explore today&#39;s weaker-than-expected non-farm payroll report and its impact on the markets. Despite a brief improvement in stock indice ... Show More
1h 1m
Jul 2025
PODCAST: Daily Energy Markets - July 4th
The Daily Energy Markets podcast tackled the ripple effects of a sweeping new US spending bill adding $3 trillion to debt while slashing taxes and gutting key social and climate programs — a clear political win for Trump but raising concerns over debt and dollar pressure. Guests ... Show More
30m 12s
Oct 2023
The night is darkest before the dawn - it's make-or-break week for markets
<p>The US yield curve appears stuck and the S&amp;P 500 index is down more than 10% from its highs earlier this year. This week's Federal Reserve decision on interest rates, news of the US Treasury’s borrowing plans, employment data and earnings are all likely to determine the ma ... Show More
15m 6s
Aug 2024
US economic data and the JPY in focus this week
<p>Global equity markets staged a remarkable recovery from the panic at the start of last week, while government bonds and gold acted as effective hedges during the market turmoil. This week, all eyes will be on the US economic reports and whether they will show that the US econo ... Show More
13m 12s
Aug 2024
Markets are Never Say Never
<p>What a week in markets and one that should give us a lot to chew on with respect to how and why risk episodes materialize. There are certainly some conclusions at the ready and first and foremost is that vol is the only anti-fragile asset. In the trading action on Monday, Augu ... Show More
17m 20s