1007 Épisodes

  1. Was that the capitulation or more to come?

    Publié: 21/09/2021
  2. We are in the event horizon of a market correction

    Publié: 20/09/2021
  3. High stakes on FOMC week ahead as US yields, USD poke back higher.

    Publié: 17/09/2021
  4. Contagion in Chinese property sector. US dip-buyers take a stand.

    Publié: 16/09/2021
  5. Risk sentiment increasingly on tilt ahead of options witching this Friday

    Publié: 15/09/2021
  6. Holding breath for US August CPI print today

    Publié: 14/09/2021
  7. Market stumbles into a new week. Apple in trouble?

    Publié: 13/09/2021
  8. Yields drop on ECB, US T-bond auction. Eyeing India

    Publié: 10/09/2021
  9. Market rout deepens. ECB to underwhelm?

    Publié: 09/09/2021
  10. Market looks increasingly unsettled. Are rising US yields a trigger?

    Publié: 08/09/2021
  11. ECB to lead Fed? Possible mischief if US 10-year yields break higher.

    Publié: 07/09/2021
  12. Japan flying high. Supply chain risks multiplying.

    Publié: 06/09/2021
  13. Is this the final melt-up of the cycle?

    Publié: 03/09/2021
  14. Equities dip, but FX points to fresh risk sentiment boost

    Publié: 02/09/2021
  15. Chinese equity rebound boosts global sentiment, even as we remain in defensive stance

    Publié: 01/09/2021
  16. Equities accelerate beyond trend, not always a good thing

    Publié: 31/08/2021
  17. Powell waxes maximum dovish at Jackson Hole, but how long will it matter?

    Publié: 30/08/2021
  18. Novel approach to hedging downside risk.

    Publié: 27/08/2021
  19. Sector-picking the Chinese market. Yields on the move ahead of JH.

    Publié: 26/08/2021
  20. Danger lurks beneath the too-tranquil surface

    Publié: 25/08/2021

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