Episode Details
Back to EpisodesMarkets Weekly podcast (27 June 2022): What does increased recession risk mean for equity markets?
Published 3 years, 11 months ago
Description
Tune in as Dorothée Deck, our Cross Asset Strategist, takes an in-depth look at global equity markets amid aggressive sell-offs and a challenging macroeconomic environment. She’s joined by Henk Potts, our Market Strategist, who turns his attention to the risk of recession in the major regions, UK inflation, and eurozone PMI.