Podcast Episodes
Back to SearchMonthly markets podcast India (February 2022): Does current market volatility warrant a change in portfolio strategy?
With escalating Russia-Ukraine tensions and inflation worries testing investors’ nerves, our India podcast host Narayan Shroff, Investment Director a…
4 years, 3 months ago
Markets Weekly podcast (21 February 2022): What’s driving strong demand for UK real estate?
What’s driving strong demand for UK real estate? Stephen Moroukian, our Product and Proposition Director for Real Estate Financing, discusses all the…
4 years, 3 months ago
Markets Weekly podcast (14 February 2022): Inflation: is a peak in sight?
Inflation continues to pre-occupy investors, but is it here to stay? In this week’s podcast, Fabrice Montagné, Chief UK Economist at Barclays Investm…
4 years, 4 months ago
Markets Weekly podcast (7 February 2022): Small is beautiful? Opportunities and risks in small-cap stocks
In this week’s podcast, Dorothee Deck, our Cross Asset Strategist, explains why the recent equity market sell-off should only be a short-term setback…
4 years, 4 months ago
Markets Weekly podcast (31 January 2022): US rates: what can investors expect from the Federal Reserve?
As uncertainty over the future path of US rates continues to drive market volatility, Michel Vernier, our Head of Fixed Income Strategy, discusses wh…
4 years, 4 months ago
Markets Weekly podcast (24 January 2022): Staying the course amid unsettled markets
With markets beginning the week on the back foot, Henk Potts, our Market Strategist, examines the data behind the unsettled start to the year. While …
4 years, 4 months ago
Monthly markets podcast India (January 2022): Navigating India’s changing landscape through 2022
With the Indian economy rebounding from its Omicron test, our podcast host Narayan Shroff, Investment Director for Barclays Private Clients India, lo…
4 years, 4 months ago
Markets Weekly podcast (17 January 2022): Spotlight on US earnings
In this week’s podcast, Julien Lafargue, our Chief Market Strategist, gives us the lowdown on the latest US earnings season, and how it could impact …
4 years, 5 months ago
Markets Weekly podcast (10 January 2022): New year, new investor expectations?
In this week’s podcast, Dorothee Deck, our Cross Asset Strategist, reflects on last year’s winners and losers across asset classes, and considers wha…
4 years, 5 months ago
Markets Weekly podcast (13 December 2021): What could soaring US inflation mean for bond investors?
With US inflation hitting a multi-decade high, and the Federal Reserve striking a distinctly hawkish tone, Michel Vernier, our Head of Fixed Income S…
4 years, 6 months ago