Podcast Episodes
Back to SearchMarkets Weekly podcast (27 May 2025): Has the US dollar lost its lustre?
As the US dollar struggles, sterling and the Swiss franc have gone from strength to strength. In this week’s podcast, Bhaskar Gupta, Head of FX Distr…
1 year ago
Markets Weekly podcast (19 May 2025): Taking the long view
At times of rising geopolitical tensions and economic uncertainty, a long-term view remains essential. In this week’s podcast, Nikola Vasiljevic, Hea…
1 year ago
Markets Weekly podcast (12 May 2025): What’s next for the UK property market?
This week’s podcast reflects on the recent market turmoil and what it could mean for the UK property market. Stephen Moroukian, our real estate finan…
1 year, 1 month ago
Markets Weekly podcast (28 April 2025): What are US bond markets telling us?
This week’s podcast focuses on the bond market reaction to trade tariff uncertainty. Michel Vernier, Head of Fixed Income Strategy, joins host Julien…
1 year, 1 month ago
Markets Weekly podcast (14 April 2025): A rollercoaster week
With elevated market volatility, this week’s podcast focuses on how investors can retain perspective despite the challenging environment. Listen in a…
1 year, 2 months ago
Markets Weekly podcast (7 April 2025): US tariffs special
As financial markets grapple with the fallout from President Trump’s ‘Liberation Day’ announcements, Lukas Gehrig, Head of Quantitative Macro and The…
1 year, 2 months ago
Markets Weekly podcast (31 March 2025): What’s next for FX markets?
With an unsettled investment landscape, this week’s podcast focuses on how major currencies are faring. Listen in as Bhaskar Gupta, Head of FX Distri…
1 year, 2 months ago
Markets Weekly podcast (24 March 2025): Central bank special
Amid ongoing market uncertainty, this week’s podcast delves into the latest interest rate updates from the US Federal Reserve and the Bank of England…
1 year, 2 months ago
Markets Weekly podcast (17 March 2025): Making sense of market noise
How can investors navigate current market volatility? Alex Joshi, Head of Behavioural Finance, discusses the importance of a long-term perspective, a…
1 year, 2 months ago
Markets Weekly podcast (10 March 2025): Equity and bond correlation
This week, Nikola Vasiljevic, Head of Global Asset Allocation, discusses the correlation between equity and bond returns and how changing economic co…
1 year, 3 months ago