Episode Details
Back to EpisodesMarkets Weekly podcast (10 March 2025): Equity and bond correlation
Published 1 year, 3 months ago
Description
This week, Nikola Vasiljevic, Head of Global Asset Allocation, discusses the correlation between equity and bond returns and how changing economic conditions can influence the relationship. Host, Julien Lafargue also covers tariffs, US jobs and EU defence spending.