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Cameron Crise On Fed’s Balance Sheet Problem, Equity Drawdowns and Inflation

Cameron Crise On Fed’s Balance Sheet Problem, Equity Drawdowns and Inflation

FromMacro Hive Conversations With Bilal Hafeez


Cameron Crise On Fed’s Balance Sheet Problem, Equity Drawdowns and Inflation

FromMacro Hive Conversations With Bilal Hafeez

ratings:
Length:
60 minutes
Released:
Aug 19, 2022
Format:
Podcast episode

Description

Cameron Crise is a macro strategist at Bloomberg, where he writes the Macro Man column and posts on the Markets Live blog. Previously, he was a global macro portfolio manager at Graham Capital in Connecticut and Nylon Capital in London. Earlier in his career, he was a currency portfolio manager and economist for several European asset management firms and held a variety of foreign exchange roles at UBS. He is a graduate of Duke University with a degree in public policy studies and history. In this podcast we discuss: 1) Lessons from working at hedge funds. 2) Where are we in the US growth cycle? 3) Inflation path. 4) How high will the Fed hike? 5) Will bond yields reach new highs? 6) The problem with the Fed’s quantitative tightening (QT) programme. 7) Overnight moves in stock markets. 8) Chances of deeper equity correction. 9) Chances of larger financial crisis. 10) Thoughts on China and Europe. 11) Equity earnings. 12) Books mentioned: Reminiscences of a Stock Operator (Lefevre), Market Wizards (Schwager) , Manias, Panics, and Crashes (Kindleberger) and Devil Take the Hindmost (Chancellor).
Released:
Aug 19, 2022
Format:
Podcast episode

Titles in the series (100)

We talk economics and markets with leading policymakers and investors.