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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.
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Tuesday Sep 08, 2020
Pivotal rest of week ahead for stocks and USD
Tuesday Sep 08, 2020
Tuesday Sep 08, 2020
Today's slide deck: bit.ly/3k03aRV -
Today we look at the importance of the rest of the week as a possible test of trend for US stocks after the steep, pre-holiday sell-off last week. We also note the recent strong EM comeback and have a look at the USD closing in on a tipping point, sterling already in capitulation versus the greenback and interesting CHF price action. In commodities, a focus on grains and copper. Today with Peter Garnry on equities, Ole Hansen on commodities and John J. Hardy hosting and on FX.