
Underreacting and then Overreacting to Policy Shocks
Notes on the Week Ahead
00:00
Resilience and Delayed Reactions in Financial Markets and Policy Changes
This chapter explores the stability of U.S. financial markets amidst significant policy shifts in 2025. It contrasts the American market's resilience against inflation and recession worries with the volatility seen in the UK guilt market, also examining the delayed economic impacts of tariffs and immigration changes.
Transcript
Play full episode