
Michael Zezas: 3 U.S. Policy Forecasts… and a Wild Card
As a Democratic administration takes the reins in the White House and Congress, what policy moves should investors expect?
20 Jan 20212min

Mike Wilson: Time to Leave the Pack Behind?
Investors have become infatuated with the S&P 500, but a rotation to new leadership suggests a look toward stocks that have been off the radar.
19 Jan 20213min

Special Episode: Rates and FX Markets Eye the U.S. Policy Path
As Congress and a new administration ponder new stimulus to navigate the pandemic, what will 2021 look like for FX and government bond markets?
15 Jan 202110min

Andrew Sheets: Rates and Inflation - Moving for the Right Reasons?
Rising yields and inflation can create anxiety for investors, but the impact depends on why they’re rising. Chief Cross-Asset Strategist Andrew Sheets explains.
14 Jan 20212min

Adam Virgadamo: 5 Equities Investment Themes for 2021
As vaccines continue to roll out and the world eyes a return to normal, several key themes are emerging that could shape investment returns.
13 Jan 20213min

Reza Moghadam: High Noon at the ECB Corral
Does a robust recovery in 2021 spell the end of European Central Bank action? One inconvenient fact may stand in the way: the lackluster rise in inflation.
12 Jan 20214min

Mike Wilson: So… What Isn’t Priced-In?
Although 2021 is likely to be a better year economically, asset markets may not repeat the remarkable run of the past 9 months. So where should investors look?
11 Jan 20214min

Special Episode: Are the Clouds Clearing for European Equities?
Why a reflationary backdrop in 2021 could provide a boost to Europe’s cyclical value stocks. A look at the year ahead with Graham Secker, Head of the European and UK Equity Strategy Team.
8 Jan 202110min





















