Events, Webinars and Podcasts

We run a worldwide programme of insightful conferences, roundtables, webinars and podcasts presented by our economic experts.


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Positioning for a shallow recession

with Javier Corominas and Daniel Grosvenor | Online | September 26, 2022

We expect Q4 to be as challenging for markets as 2022 has been thus far. In our autumn webinar, our strategists Javier Corominas and Daniel Grosvenor discuss key global macro themes, including, why we believe yields will soon peak even as real rates have risen, why equities are still poised for a turbulent period, and how credit will outperform other risk assets. As we move into 2023 we see increased opportunities for investors as policy differentiation takes hold and economic performance varies across markets, geographies and thus asset classes.

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Macro Strategy – Positioning for late cycle dynamics

with Javier Corominas and Daniel Grosvenor | Online | March 24, 2022

The Russian invasion of Ukraine means the Dollar and other global risk-free assets will continue to be bid for the next few weeks but will ultimately unwind once the funding stress is over in money and FX swap markets. Looking ahead, we are now entering a late cycle environment, and this implies a move to a more positive stance on US duration. We remain overweight non-US equities on the back of a significant valuation and sentiment driven gap that has emerged following the risk-off price action thus far.

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