Saxo Market Call

Ein Podcast von SaxoStrats

Kategorien:

1005 Folgen

  1. Fixed-income: Keep it short if you think about bonds

    Vom: 3.10.2023
  2. Fixed-income: How much higher can bond yields go?

    Vom: 26.9.2023
  3. Macro and FX: Can the higher for longer narrative continue?

    Vom: 25.9.2023
  4. Commodities: What does a Fed soft landing mean for commodities?

    Vom: 21.9.2023
  5. Equities: Red flags in IPOs, low volatility in US equities, and earnings to watch

    Vom: 20.9.2023
  6. Fixed-income: The US 10-year yield is on the loose

    Vom: 19.9.2023
  7. Macro and FX: Central banks bonanza this week

    Vom: 18.9.2023
  8. Commodities: Oil rally raises stagflation risks and yuan’s correlation to copper

    Vom: 14.9.2023
  9. Equities: Energy on the move, Europe’s ”EV war” with China, and FedEx earnings

    Vom: 13.9.2023
  10. Fixed-income: A hawkish pause from ECB and attractive risk-reward in bonds

    Vom: 12.9.2023
  11. Macro and FX: King Dollar, pressures on China, and will ECB hike?

    Vom: 11.9.2023
  12. Commodities: Crude’s artificial tightness, uranium and gold in focus

    Vom: 7.9.2023
  13. Equities: EV ecosystem, Adobe earnings, and AI washing

    Vom: 6.9.2023
  14. Fixed-income: Peak rates and the impacts

    Vom: 5.9.2023
  15. Macro and FX: Could soft landing hopes slow down USD rally?

    Vom: 4.9.2023
  16. Will US jobs report extend current momentum?

    Vom: 1.9.2023
  17. ’Peak rates’ narrative continues to underpin momentum

    Vom: 31.8.2023
  18. Bad news is good news, or so the market thinks

    Vom: 30.8.2023
  19. Chinese equity narrative turns to hope of a turnaround

    Vom: 29.8.2023
  20. Volatility collapse post Jackson Hole as Powell delivers nothing

    Vom: 28.8.2023

9 / 51

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

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