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How to Position for a Hard Landing
The equity market's been relatively stable and okay, flirting with that 4200 level in the US. A European equity is actually doing really solidly. But the corporate credit spreads, whether it's triple C or high yield, other high yield products have actually been remained quite wide. So there's I always find it fun when there's two separate and competing and sort of differentiated narratives. How are you positioning right now like client portfolios in general? We're having a good start to the year end, you know, we're not getting any of this volatility.