
Andrew Sheets: First, Improve on Uncertainty
On this episode, Chief Cross-Asset Strategist Andrew Sheets says that the 4%+ swings in equities markets have made investors skeptical about jumping back in. More U.S. testing could help.
20 Maalis 20203min

Andrew Sheets: Why We Think Risk/Reward Is Improving
Although the sell-off may not be over and the global economy has tough days ahead, a growing number of factors suggest that risk/reward in markets may be getting better.
19 Maalis 20203min

Special Episode: Imagining the Shape of Recovery
As central banks and governments weigh a litany of stimulus efforts, what could the journey to economic recovery look like? Our Chief U.S. Economist and Head of U.S. Public Policy Research sum up the debates.
18 Maalis 20207min

Michael Zezas: Inside the Municipal Bond Liquidity Trap
When markets get volatile, strange things start to happen in markets you might not expect. That's both a sign of stress, and in some cases, a sign of opportunity.
17 Maalis 20202min

Mike Wilson: The End of The Cyclical Bear Market?
Just three months ago, market expectations were likely overoptimistic. That's how tops are made. Today, they are maybe too pessimistic… and that's how bottoms are made.
16 Maalis 20204min

Andrew Sheets: The Comfort of Market Patterns
Although current market swings suggest that we are in serious, unpredictable times, a look through market history may reveal where we’re headed next.
13 Maalis 20203min

Michael Zezas: Oil Exporter Tensions Add to Market Worries
The dual challenges of the coronavirus and the collapse of the OPEC plus arrangement intensifies the need for a fiscal response from Washington. Head of Public Policy Research Michael Zezas explains.
11 Maalis 20202min

Special Episode: The Road Ahead
Investors reacted strongly as oil prices and coronavirus worries disrupted markets. Chief Cross-Asset Strategist Andrew Sheets and Chief U.S. Economist Ellen Zentner debate what’s next.
10 Maalis 20208min





















