
A Novel Approach for Managing Inflation
Darnell Azeez has some novel thoughts on inflation and other risks facing investors. Hear from a very insightful portfolio manager at Lord Abbett.
7 Feb 202227min

What Higher Inflation Means for the Muni Market
A conversation with Patrick Luby, CreditSights Inflation's long-run impact on munis will vary by sector and issuer. Hear from one of the industry's premier thinkers.
31 Jan 202224min

Lessons Learned from Years of Diverse Team Building
A conversation with Nanda Kamat, MUFG Nanda Kamat is one of financial service industry's prominent few who pursued a diverse team-building strategy before it gained mainstream momentum. Listen as she ...
24 Jan 202219min

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
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
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
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
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.
27 Apr 202018min




















