
4.4M
Downloads
1064
Episodes
The Saxo strategy team delivers insights and opinions about financial markets in a series of weekly podcasts covering all asset classes. Monday is our conversation about macroeconomy, currencies, and central banks. Tuesday is all about fixed-income ranging from governments bonds to credit. Wednesday is a jump into global equities covering earnings, themes, and single stocks. Thursday is our journey into commodities covering everything from natural gas to soybeans.
Episodes

Wednesday Feb 03, 2021
Market shakes off shenanigans, but USD could weigh
Wednesday Feb 03, 2021
Wednesday Feb 03, 2021
Today's slide deck: https://bit.ly/3cxE7Fj -
Today we assess the US equity markets remarkable snapback that has now entirely erased the deleveraging move that unfolded last week on the short-squeeze phenomenon and also discuss whether this is necessarily a sign of market health. Also a look at key earnings report in equities, commodity stock under-performance, whether the stronger US dollar and/or rising US yields represent a headwind for risk sentiment, the reversal of silver prices and more. Today's call with Peter Garnry on equities, Ole Hansen on commodities, and John J. Hardy hosting and on FX.