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Surveillance: Election Risks With JPM’s Normand

Surveillance: Election Risks With JPM’s Normand

FromBloomberg Surveillance


Surveillance: Election Risks With JPM’s Normand

FromBloomberg Surveillance

ratings:
Length:
30 minutes
Released:
Oct 9, 2020
Format:
Podcast episode

Description

Ben Laidler, Tower Hudson Research CEO, expects a melt-up in the fourth quarter. John Normand, JPMorgan Head of Cross-Asset Fundamental Strategy, discusses where vulnerabilities are in the markets ahead of the U.S. election. Michael Zezas, Morgan Stanley Head of U.S. Policy Research and Municipal Strategist, examines how the election could impact infrastructure policy. Stephen Stanley, Amherst Pierpont Chief Economist, says the economy can continue to recover without more stimulus in the near-term.
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Released:
Oct 9, 2020
Format:
Podcast episode

Titles in the series (100)

Tom Keene, Jon Ferro, Lisa Abramowicz, and Paul Sweeney have the economy and the markets "under surveillance" as they cover the latest in finance, economics and investment, and talk with the leading voices shaping the conversation around world markets.