David Osman of the IRF Podcast is joined once again by David Ranson, President of HCWE & Co. HCWE has a clientele of institutional investors, hedge funds and family offices throughout North America and Europe.
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With the uneven roll-out of Covid19 vaccines around the world this year, there is a wider than usual range of forecasts for economic growth and inflation both in 2021 and in 2022. From an investment standpoint a lot depends on the outlook for the US economy. David Ranson explains the difference in the work of HCWE and his evidence for doubting the effectiveness of monetary and fiscal policies conducted during 2020. He doubts whether stimulus programmes stimulate output. He explains that productivity cannot be used to forecast the economy – you need to look at leading indicators that work during a crisis e.g. VIX index. He states that the economy has shown a great amount of resilience, both in the US and throughout the developed world. ‘Everyone was talking about a recession, but it was nothing like a normal recession. There was an enormous drop in output but it bounced back very quickly, which is quite unlike a recession. What we had was a Great Interruption.’
Please note that slides are available alongside this podcast upon request from the Independent Research Forum (caroline@independentresearchforum.com).
"The US Economic, Political and Investment Outlook", David Metzner & Chris Czerwinski, ACG Analytics
"The Politics of Macroeconomic Stabilisation in Argentina; Can President Milei Succeed?", Nicholas Watson, Teneo
"Global Investing at a Time of War", David Murrin, Global Forecaster
“Global Financial Markets: Recent Trends and Future Prospects”, Ron William, RW Advisory
“Sustainable Investment Opportunities and Risks in 2024”, Lenka Martinek, Sustainable Market Strategies
“The Outlook for the US Economy and Financial Markets in 2024”, Brian Pellegrini, Intertemporal Economics
“The Outlook For World Commodity Prices”, Jeffrey Christian, CPM Group
“Latin American Politics: Navigating The Rapids”, Marcos Buscaglia, Alberdi Partners
“Japan: Back in the Big Time?”, Ryoji Musha, Musha Research
“The Global Financial Markets in 2023 and Beyond”, Ron William, RW Advisory
“ESG Investing: Pitfalls and Potential Opportunities”, Lenka Martinek, Sustainable Market Strategies
“A Diabolical Mechanism”, Mark Latham, Commodity Intelligence
“The Outlook for the Turkish Economy and Financial Assets”, Michael Harris, Cribstone Strategic Macro
“US Economic Policy: Teetering on an Inflationary Equilibrium”, Brian Pellegrini, Intertemporal Economics
“The Outlook for the UK and US Economies and Financial Markets”, Helen Thomas, Blonde Money
“Approaching a Tipping Point for Growth and Inflation Expectations”, Patrick Perret-Green, PPG Macro
“Canada: On Course for a Soft Landing in 2023/24?”, Ben Rabidoux, North Cove Advisors
“Navigating the World with an Inverted Yield Curve”, Michael Churchill, Churchill Research
Research and Markets: “Buckle up for an Increase in Volatility”, JP Smith, IRF
“The Fed’s Dim Chances of Getting Inflation Under Control”, David Ranson, HCWE & Co.
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