100 Episoder

  1. “This is what people were hoping for”

    Publisert: 6.6.2025
  2. Why emerging markets could keep rallying

    Publisert: 30.5.2025
  3. Fade the S&P 500 rally?

    Publisert: 23.5.2025
  4. Why tech stocks could keep rallying

    Publisert: 16.5.2025
  5. “Long stocks, short bonds”

    Publisert: 9.5.2025
  6. Time to buy bonds?

    Publisert: 2.5.2025
  7. “The most attractive hedge”

    Publisert: 25.4.2025
  8. Opportunities amidst historic volatility

    Publisert: 11.4.2025
  9. Tariffs could spark “a new rotation” in US equities

    Publisert: 4.4.2025
  10. Can US equities rally again?

    Publisert: 28.3.2025
  11. Bonds or stocks: The 2025 income play

    Publisert: 21.3.2025
  12. “The US is still the place to be”

    Publisert: 14.3.2025
  13. Buy the dip in US equities?

    Publisert: 7.3.2025
  14. Is the US consumer in trouble?

    Publisert: 28.2.2025
  15. Why gold could rise even higher

    Publisert: 21.2.2025
  16. The 1982 playbook

    Publisert: 14.2.2025
  17. Finding opportunities in a “trickier” market

    Publisert: 7.2.2025
  18. Markets make sense of the Fed

    Publisert: 31.1.2025
  19. The key US equity theme for 2025

    Publisert: 24.1.2025
  20. The perfect setup for US stocks?

    Publisert: 17.1.2025

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Goldman Sachs leaders and analysts break down the key issues moving markets in this weekly podcast.

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