
Andrew Sheets: The Risk of Rising Rates
Whether the anticipated fiscal stimulus in the U.S. will be enough to push the economy into inflationary territory, and if we should be concerned about it, is a matter of much debate. Chief Cross-Asset Strategist Andrew Sheets discusses.
19 Feb 20212min

Special Episode: Europe’s Economic Scarring Post-Pandemic
Recessions can create long-term scars on labor, investment and the pace of innovation. Is Europe more prepared to lessen COVID-related economic scarring than in past crises?
18 Feb 202110min

Michael Zezas: What’s Next for U.S.-China Trade?
Concerns about the state of U.S.-China trade relations dominated investor thinking in 2018 and 2019. What’s the path forward for the Biden administration?
17 Feb 20212min

Adam Jonas: Space - The Disruption of All Disruptions?
The scientific race toward quantum communication is already underway. A look at why the global space economy will be critical to its development.
16 Feb 20213min

Andrew Sheets: With Gold, the Narrative Matters
Gold is sometimes perceived by investors as a good hedge against inflation, however its track record in this capacity is worth a closer look.
12 Feb 20212min

COVID-19: Variants, Vaccines and the Road Ahead
We dive into what’s ahead amid competing news headlines on the improving pace of vaccinations and worries over new variants.
11 Feb 202110min

Special Episode: The Debate over U.S. Fiscal Stimulus and Inflation
Michael Zezas, Head of U.S. Public Policy Research and Matthew Hornbach, Global Head of Macro Strategy, discuss the impact of stimulus and inflation on fixed income markets.
10 Feb 20217min

Chetan Ahya: The Fed, Stimulus and “The High-Pressure Economy”
If you’re not familiar with the concept of a high-pressure economy, now might be a good time to get acquainted. A new forecast for the U.S. economy.
9 Feb 20213min





















