VanEck's David Schassler Provides Strategies for a Complex Market Environment

VanEck's David Schassler Provides Strategies for a Complex Market Environment

David Schassler, Head of Multi-Asset Solutions at VanEck, weighs in with a comprehensive asset allocation approach for today's environment. He also provides insights on structural forces reshaping global markets such as artificial intelligence as well as thoughts on equities, fixed income, gold and digital assets.

Episoder(186)

Pragmatic Strategy for Currency Risk Management

Pragmatic Strategy for Currency Risk Management

Hear how this OCIO has managed the risk of currency exposure and what he thinks about using currency in the search for yield.

17 Jan 202220min

Crypto Accounting, and What Every Analyst Should Know

Crypto Accounting, and What Every Analyst Should Know

A conversation with Vivian Fang, University of Minnesota Hear where analysts and portfolio managers should look, according to one of the most advanced thinkers on crypto accounting.

10 Jan 202219min

The Risks and Opportunities in Africa's Private Markets

The Risks and Opportunities in Africa's Private Markets

Hear from two people with clear views into Africa's private markets about how the Covid-19 pressures are making some sector's private companies a better value while others are becoming more risky.

11 Mai 202030min

Public Pension Pressures Mounting Amid Covid-19

Public Pension Pressures Mounting Amid Covid-19

The risks of public pension pressures to state bond ratings is intensifying. Hear from Doug Offerman and Olu Sonola, CFA of Fitch Ratings about how the investments, structures and policies are all com...

4 Mai 202025min

Why Slack in the Labor Market is Understated

Why Slack in the Labor Market is Understated

The amazing jump in jobless claims and the unemployment rate may actually be rosier than reality. Our guest, Stephanie Aaronson (Brookings), shares what her research says.

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Corporates on the Knife Edge

Corporates on the Knife Edge

One seasoned pro's view of sectors of the corporate lending market. What could save them and why some covenants matter more than others.

20 Apr 202014min

The Value of Asset Allocation Amid Volatility

The Value of Asset Allocation Amid Volatility

Volatility is a time to review asset allocation and investment policy. We dig into why with one asset owner.

13 Apr 202010min

An Asset Owner's View of The Volatility

An Asset Owner's View of The Volatility

Hear what one portfolio strategist from New York Life Investments thinks about the recent markets.

6 Apr 202011min

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