1007 Épisodes

  1. Wheat price spike turning dire

    Publié: 04/03/2022
  2. Commodities are searching for the breaking point

    Publié: 03/03/2022
  3. We are not buying this dip

    Publié: 02/03/2022
  4. The rush out of Russia.

    Publié: 01/03/2022
  5. Sanctions slam the door on Russia.

    Publié: 28/02/2022
  6. Market sell-off reverses on milder US sanctions than feared

    Publié: 25/02/2022
  7. Markets and economies ill-prepared for war

    Publié: 24/02/2022
  8. When geopolitical fear levels fade, CB expectations quickly spring back.

    Publié: 23/02/2022
  9. We have crossed the geopolitical Rubicon

    Publié: 22/02/2022
  10. The fog of geopolitical tensions

    Publié: 21/02/2022
  11. Pozsar urges the Powell Fed to create a ”Volcker moment”

    Publié: 18/02/2022
  12. Back to square one on geopolitics. Fed expectations recede.

    Publié: 17/02/2022
  13. The Fed must hike until something breaks

    Publié: 16/02/2022
  14. Geopolitics headlines improve, but here comes fresh yield spike risk?

    Publié: 15/02/2022
  15. Russia-Ukraine headline risk added to already volatile mix

    Publié: 14/02/2022
  16. Bracing for possible Fed emergency hike

    Publié: 11/02/2022
  17. Market pushing on resistance ahead of US CPI

    Publié: 10/02/2022
  18. Market holding its breath within pivot zone

    Publié: 09/02/2022
  19. EU sovereign debt crisis redux risk?

    Publié: 08/02/2022
  20. Markets are still walking on broken glass

    Publié: 07/02/2022

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