Episode Details
Back to Episodes
Macro Market Insights: China’s Stimulus, BOJ Strategy, and Portfolio Outlook
Episode 32
Published 1 year, 11 months ago
Description
This podcast dives into key macro questions on the potential disappointment of China’s stimulus efforts for investors and economists, along with the impact of BOJ decisions on global bond market volatility. The discussion reviews actionable portfolio strategies, quantitative signals, and positioning models, emphasizing a liquidity-driven approach and a cautious stance in a Goldilocks market regime. Tune in for insights on balancing short-term growth opportunities with structural risks in the current economic landscape.