Investment Strategy

Central Bank Policies, Real Yield, and Equity Volatility

11 min · 3. helmi 2022
jakson Central Bank Policies, Real Yield, and Equity Volatility kansikuva

Kuvaus

In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: • Influence of foreign central bank policy on interest rates • Understanding the effect of changes in real yield on the incentive to invest in other assets • Factors affecting the recent volatility in the equity markets • Investor appetite for risk assets and long-term outlook for the stock market

Kommentit

0

Ole ensimmäinen kommentoija

Rekisteröidy nyt ja liity Investment Strategy-yhteisöön!

Aloita maksutta

14 vrk ilmainen kokeilu

Kokeilun jälkeen 7,99 € / kuukausi. · Peru milloin tahansa.

  • Podimon podcastit
  • 20 kuunteluaikaa / kuukausi
  • Lataa offline-käyttöön

Kaikki jaksot

64 jaksot