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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
Tuesday Mar 08, 2022
US capitulation, Nickel madness, EU joint debt blast
Tuesday Mar 08, 2022
Tuesday Mar 08, 2022
Today's slide deck: https://bit.ly/3Mz3ea8 -
Today we look at the continuing wild ride for global markets as commodities price movements have become so extreme that things are beginning to break in places - especially in the Nickel market, where a short squeeze triggered a shutdown as we were recording the podcast. We also looked at the live market reaction while recording to news of a massive new joint EU debt issuance that drove a sharp sentiment shift this morning in Europe. A dive into energy themes, wheat, Russian default risks, US treasuries and more on today's pod, which features Peter Garnry on equities, Ole Hansen on commodities, Althea Spinozzi on fixed income and John J. Hardy hosting and on FX.
Intro and outro music by AShamaluevMusic