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The Saxo strategy team delivers insights and opinions about financial markets three times a week. Monday’s episode will focus on the events that have unfolded in the past week and what you should pay attention to in the coming week. Tuesday’s episode will focus on equities both in terms of performance and other relevant developments. Thursday’s episode will focus more narrowly on a specific topic, which can be everything from earning seasons, to yield curves and oil prices. The podcast will feature a wide array of Saxo’s financial experts.
Episodes
Wednesday Mar 09, 2022
Ripple effects from commodities volatility continue
Wednesday Mar 09, 2022
Wednesday Mar 09, 2022
Today's slide deck: https://bit.ly/3tA3g9a -
Today we look at the ongoing chop-fest in equities, with Chinese equities roiled heavily overnight after the US closed at a new cycle low yesterday, but with Europe trying to put a brave face on the situation this morning. We assess exposures to Russian exports after the UK and US moved to ban Russian oil imports. We also discuss the financial risk as even natural hedgers are getting margin calls on their hedging of physical production, the latest sectors under pressure as jet fuel prices skyrocket, EU joint debt issuance plans boosting the euro and peripheral currencies, the earnings and macro calendar and more. Today's pod features Peter Garnry on equities, Ole Hansen on commodities, and John J. Hardy hosting and on FX.
Intro and outro music by AShamaluevMusic