9 min listen
Investor sentiment improves as geopolitical risk fades
Investor sentiment improves as geopolitical risk fades
ratings:
Length:
10 minutes
Released:
Apr 23, 2024
Format:
Podcast episode
Description
Following last week’s worst selloff in a year, US equities turned a corner yesterday as the risks of a Middle East escalation appeared to ease. Investor sentiment was decidedly more risk-on as this week’s corporate earnings and economic data shifted into focus. Dario Messi, Fixed Income Strategy, discusses the impact of geopolitics on bond markets and talks about emerging market debt in the current climate.00:00 Introduction by Bernadette Anderko (Investment Writing)00:25 Markets wrap-up by Jonti Warris (Investment Writing)05:18 The dominance of inflation signals by Dario Messi (Fixed Income Strategy)08:49 Closing remarks by Bernadette Anderko (Investment Writing)Would you like to support this show? Please leave us a review and star rating on Apple Podcasts, Spotify or your favourite podcast player.
Released:
Apr 23, 2024
Format:
Podcast episode
Titles in the series (100)
Stocks up, yields down on Friday: US equities posted solid gains on Friday, but the real action was in the bond market where growth concerns led to bond yields plunging. Mensur Pocinci, Head of Technical Analysis, provides his view on recent market developments, and shares what he is look by Moving Markets: Daily News