
Michael Zezas: The Macro Impacts of Oil Prices
With the rising cost of oil comes concerns around economic growth, but the distinction between the impact in Europe and the US is important, presenting both challenges and opportunities for investors....
9 Mar 20222min

Graham Secker: Stagflation Pressure Meets Pricing Power
As European markets price in slowing growth, increased inflation and geopolitical tensions, pricing power is a potential focus for European investors looking to weather the storm.-----Transcript-----W...
8 Mar 20223min

Mike Wilson: A More Bearish View for 2022
The year of the stock picker is in full swing as investors look towards a future of Fed tightening and geopolitical uncertainty, where some individual stocks will fare better than others.-----Transcri...
7 Mar 20223min

Andrew Sheets: A Different Story for Global Markets
While the U.S. continues to see high valuations, rising inflation, and slow policy tightening, the story is quite different for many markets outside the U.S.Important note regarding economic sanctions...
4 Mar 20222min

Special Episode: How Fed Policy Impacts Housing
As the Fed continues to signal coming rate hikes this year, the housing market will face implications across home sales, mortgage rates, and fundamentals.-----Transcript-----Jay Bacow: Welcome to Thou...
3 Mar 20226min

Michael Zezas: Key Questions Amidst Geopolitical Tensions
The recent crisis in Ukraine has caused a great deal of uncertainty in the economy and markets. To cut through the noise, we take a look at the three key questions we are hearing from investors.Import...
3 Mar 20223min

Martijn Rats: Uncertainty for Oil and Gas
As the conflict between Russia and Ukraine continues to unfold, implications for the oil and gas sector in Europe are beginning to take shape.Important note regarding economic sanctions. This research...
2 Mar 20223min

Vishy Tirupattur: Corporate Credit Faces New Challenges
Like many markets, Corporate Credit has faced a rocky start to 2022. For investors, understanding the difference between default and duration risk will be key to positioning for the rest of the year.-...
28 Feb 20223min





















