Today's slide deck: https://bit.ly/3tZFanE -
Today we take a look at the three previous major highs in the equity market and compare conditions then with conditions now, as we continue to maintain a cautious stance, particularly given the recent rise in bond yields. On that note, a look at the next key levels for US and UK 10-year yields, a run through what is holding gold back as the reflation narrative otherwise thrives, and much more. Today's call with Althea Spinozzi on fixed income, Ole Hansen on commodities, and John J. Hardy hosting and on FX.
A strong sense of foreboding
FOMC taper talk underwhelms, but....
Market not ready for taper talk at tonight's FOMC
Unease as Chinese market rout deepens
A volatile week ahead?
Market comeback may not extend for long
Sentiment comeback broadens ahead of ECB meeting
US equities rebound, but backdrop not fully on board with sentiment shift
Market holds breath after testing pivotal levels
This week must answer the question: consolidation or correction?
Market adrift despite max support from Fed this week.
Gold stirring? Market unwilling to take a stand on inflation.
US CPI shocker - is it enough to shift the narrative?
US banking giants set to report. August as a pivotal month.
Lousy market breadth as earnings season gets underway
A strange week in financial markets smelling of summer noise
How low can US yields go as China steps up stimulus?
US yields drop on oil plunge fueling Nasdaq 100 to new all-time high
The inflation fear is still alive with surging oil and natural gas
Today the last best chance to avoid the summer doldrums?
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