1007 Épisodes

  1. Market lurches lower post-FOMC

    Publié: 17/09/2020
  2. TSLA options punters return, Europe upside potential

    Publié: 16/09/2020
  3. What are the ambitions of this bounce-back?

    Publié: 15/09/2020
  4. Global equities start week on a strong note

    Publié: 14/09/2020
  5. US equity market churning. Hard Brexit risks mounting

    Publié: 11/09/2020
  6. A market bounce with notable laggards. ECB dead ahead.

    Publié: 10/09/2020
  7. Is the unwind of the blow-off top complete in this US-only meltdown?

    Publié: 09/09/2020
  8. Pivotal rest of week ahead for stocks and USD

    Publié: 08/09/2020
  9. A pivotal week ahead after brief meltdown

    Publié: 07/09/2020
  10. Bloodbath for high flying mega-cap names, what now?

    Publié: 04/09/2020
  11. Signs of market fragility in hottest equity names

    Publié: 03/09/2020
  12. VIX structure and what it means

    Publié: 02/09/2020
  13. US megacaps zoom higher, tepid action elsewhere

    Publié: 01/09/2020
  14. Inflection point for value vs. growth?

    Publié: 31/08/2020
  15. Markets churn post-Powell, Japan's Abe to resign

    Publié: 28/08/2020
  16. Houston, we have a bubble.

    Publié: 27/08/2020
  17. Stormy markets ahead as Hurricane and Powell strike tomorrow

    Publié: 26/08/2020
  18. Bubble stocks churn, broader market surges

    Publié: 25/08/2020
  19. RNC Convention and Powell Speech in focus this week

    Publié: 24/08/2020
  20. US megacaps come roaring back, action elsewhere mixed

    Publié: 21/08/2020

47 / 51

Saxo Bank's strategy team delivers market insights across all asset classes.

Visit the podcast's native language site