Saxo Market Call

Ein Podcast von SaxoStrats

Kategorien:

1005 Folgen

  1. Fixed income: Gilts, Treasuries and Century bond

    Vom: 8.3.2024
  2. Equities: ESG criteria for the long term

    Vom: 6.3.2024
  3. Macro & FX: US jobs data, China's "Two Sessions" & Super Tuesday

    Vom: 5.3.2024
  4. Commodities: Why speculative interest is important for everyone

    Vom: 29.2.2024
  5. Equities: Evaluating geographical valuations

    Vom: 27.2.2024
  6. Macro & FX: Will markets turn their attention to macro?

    Vom: 26.2.2024
  7. Special edition: Why traders and investors should care about the US election

    Vom: 22.2.2024
  8. Equities: Will Nvidia shake the AI boom?

    Vom: 20.2.2024
  9. Macro & FX: How the debate about the US economy has shifted

    Vom: 19.2.2024
  10. What rate cuts mean for bond markets

    Vom: 15.2.2024
  11. Is confidence in a soft landing restored?

    Vom: 12.2.2024
  12. Year of the metals

    Vom: 9.2.2024
  13. Has the March rate cut been cancelled?

    Vom: 6.2.2024
  14. Tis the (earnings) season

    Vom: 2.2.2024
  15. The biggest earnings week is here

    Vom: 30.1.2024
  16. Earnings are heating up

    Vom: 26.1.2024
  17. Central banks and key figures run the show

    Vom: 23.1.2024
  18. Sticking the landing: what a normalising yield curve means for bond investors

    Vom: 19.1.2024
  19. Uncertainty is the name of the game

    Vom: 16.1.2024
  20. Fixed-income: Fair value, inflation report and our outlook for bonds

    Vom: 10.1.2024

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Saxo Bank's strategy team delivers market insights across all asset classes.

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