474 Episoder

  1. US Credit: US Credit Markets one week after the Fed rate hiking cycle began

    Publisert: 23.3.2022
  2. Global FX: Unpacking the Fed and China developments for FX

    Publisert: 23.3.2022
  3. Global Commodities: Breaking up is hard to do – can Europe disconnect from Russian energy?

    Publisert: 18.3.2022
  4. EM Fixed Income: There are only so many things EM can focus on at once

    Publisert: 17.3.2022
  5. US Rates: The FOMC starts its journey back to “normal”

    Publisert: 17.3.2022
  6. US Rates: What’s pushing funding spreads?

    Publisert: 14.3.2022
  7. Global Rates: The ECB and the nasty math of energy prices

    Publisert: 11.3.2022
  8. EM Fixed Income: EM stagflation vulnerabilities

    Publisert: 10.3.2022
  9. US Rates: Mounting inflationary pressure in the US

    Publisert: 8.3.2022
  10. Global FX: Considering spillover from geopolitics to FX

    Publisert: 7.3.2022
  11. Global Commodities: One week into the Russian invasion - the state of commodities markets

    Publisert: 4.3.2022
  12. EM Fixed Income: The fog of war

    Publisert: 24.2.2022
  13. Global Rates: BoE QT: Taking the plunge on asset sales

    Publisert: 24.2.2022
  14. Global Commodities: The world is short commodities. China is not. Introducing the Global Commodities Inventory Monitor.

    Publisert: 18.2.2022
  15. EM Fixed Income: EM local yield curves in a flattening world

    Publisert: 17.2.2022
  16. Global FX: Central banks and FX: Take a hike

    Publisert: 14.2.2022
  17. Global Rates: Scandinavia: As dovish as the Riksbank could get

    Publisert: 14.2.2022
  18. Commodities Focus: The macro view on metals

    Publisert: 11.2.2022
  19. At Any Rate: ESG Perspectives - Adding up to Net Zero

    Publisert: 7.2.2022
  20. Global Rates: Hawks in charge

    Publisert: 4.2.2022

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Analysts from J.P. Morgan’s Research team take a closer look at the stories behind some of the biggest trends, themes and developments in markets today.

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