Global Volatility: Geopolitics, Currency Wars, and Tech's Bond Shift
Geopolitical conflicts persist in Ukraine and Gaza. Global currency interventions signal market turbulence, while tech giants reshape the corporate bond landscape.
Geopolitical conflicts persist in Ukraine and Gaza. Global currency interventions signal market turbulence, while tech giants reshape the corporate bond landscape.
Amidst domestic backlash over immigration, the US awaits its next Fed Chair. Globally, UK & Canada pivot to China as US industrial policy intensifies.
Amidst global shifts, President Trump launches a controversial "Board of Peace," challenging the UN's role, while Iran intensifies crackdowns on dissenters. US Fed policy remains steady.
Global leaders grapple with Trump's volatile policies, trade deal stalemates, and a critical Supreme Court case challenging Federal Reserve independence.
Analysis of escalating US-Europe trade tensions, China's complex role in the Ukraine-Russia conflict, and Netflix's regulatory challenges.
China's demographic crisis, Saudi Arabia's Vision 2030 borrowing, Chinese EV expansion in the UK, and Europe's pension challenges define global shifts.
Geopolitical tensions escalate across Greenland, transatlantic trade, and the World Economic Forum, impacting global investment and diplomatic relations.
2025 brought record highs for US banks and asset managers, while geopolitical shifts in EU expansion and China's commodity leverage reshape global markets.
Japan's snap election, US credit card cap debate, and geopolitical tensions are shaping market sentiment and investment strategies globally.
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