Bloomberg Surveillance

Bloomberg
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Jun 16, 2022 • 25min

Surveillance: Recession Risk with Berro (Podcast)

 Kelsey Berro, JPMorgan Asset Management Fixed Income Portfolio Manager, says the risk of a recession is rising. Andrew Sheets, Morgan Stanley Chief Cross Asset Strategist, expects the Bank of Japan to stay patient for longer. Andrew Slimmon, Morgan Stanley Investment Management Senior Portfolio Manager, says it is too early to get aggressive in markets. Rep. French Hill, (R) Arkansas, says inflation is the top concern among constituents. See omnystudio.com/listener for privacy information.
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Jun 15, 2022 • 22min

Surveillance: Central Bank Credibility (Podcast)

Lara Rhame, FS Investments Chief US Economist, says central banks need to reclaim some credibility and calm the markets. Binky Chadha, Deutsche Bank Chief Global Strategist & Asset Allocation Head, explains why they expect a recession at the end of next year. Peter Tchir, Academy Securities Head of Macro Strategy, says we may see Bitcoin reach $10,000. Dom Konstam, Mizuho Americas Head of Macro Strategy, expects a very hawkish Fed. See omnystudio.com/listener for privacy information.
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Jun 14, 2022 • 27min

Surveillance: Fighting Inflation with Weinberg (Podcast)

 Carl Weinberg, High Frequency Economics Chief Economist, says Jerome Powell needs to continue convincing people that the Fed will do whatever it takes to fight inflation. Kathryn Kaminski, AlphaSimplex Chief Research Strategist, says Bitcoin needs to recover more before considering it to be in a new trend. Linda Duessel, Federated Hermes Senior Equity Strategist, says now is not the time to buy. Mark McCormick, TD Securities Global Head of FX Strategy, says Bank of Japan policy itself is broken. David Rubenstein, Carlyle Group Co-Founder & Co-Chairman and Host of "Bloomberg Wealth," discusses his interview with Khosla Ventures Founder Vinod Khosla. See omnystudio.com/listener for privacy information.
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Jun 13, 2022 • 34min

Surveillance: Global Market Selloff (Podcast)

Lori Calvasina, RBC CApital Markets US Equity Strategy Head, says we are back at a crossroads for markets. Frances Donald, Manulife Investment Management Global Chief Economist & Strategist, says the US consumer is losing purchasing power. Steven Wieting, Citigroup Private Bank Chief Economist & Chief Investment Strategist, expects 2023 to be a year of decline for EPS. Julian Emanuel, Evercore ISI Chief Equity & Quantitative Strategist, says his base case is still for no US recession. Darwei Kung, DWS Portfolio Manager and Head of Commodities, anticipates oil demand will come down. See omnystudio.com/listener for privacy information.
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Jun 10, 2022 • 24min

Surveillance: Red-Hot Inflation (Podcast)

 Michael Darda, MKM Holdings Chief Economist & Market Strategist, says it is wrong to assume that inflation problems would go away with with lower crude prices. David Herro, Harris Associates Chief Investment Officer for International Equities & Portfolio Manager, says Credit Suisse should be given a chance to turn things around. Jonathan Golub, Credit Suisse Securities Chief US Equity Strategist, says the level of concern in the market is much higher than the underlying backdrop. Ellen Wald, Atlantic Council Senior Fellow, says we've got a recipe for oil prices to keep rising. See omnystudio.com/listener for privacy information.
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Jun 9, 2022 • 21min

Surveillance: Bear Case with Emanuel (Podcast)

Julian Emanuel, Evercore ISI Chief Equity and Quantitative Strategist, outlines the conditions necessary for his bear case of the S&P 500 falling to 2,900. Nick Bennenbroek, Wells Fargo International Economist, reacts to the ECB decision. Patrick Armstrong, Plurimi Wealth Chief Investment Officer, says to invest in growth in regions outside of Europe. Seema Shah, Principal Global Investors Chief Strategist, thinks we could see a bear market rally. See omnystudio.com/listener for privacy information.
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Jun 8, 2022 • 26min

Surveillance: OECD Outlook with Boone (Podcast)

Laurence Boone, OECD Chief Economist, discusses the cut to their global growth forecast. Danny Blanchflower, Dartmouth College Economics Professor, says the OECD's forecast is too optimistic. Anastasia Amoroso, iCapital Chief Investment Strategist, says there is more and more evidence that we may have reached peak inflation. Ed Morse, Citigroup Global Head of Commodities Research, says "booming" US exports of petroleum products are driving the price of crude higher. See omnystudio.com/listener for privacy information.
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Jun 7, 2022 • 27min

Surveillance: Recession Fears with Reinhart (Podcast)

 Vincent Reinhart, Dreyfus and Mellon Chief Economist, says a low savings rate shows that households aren't too worried about a recession. Oliver Chen, Cowen Senior Equity Research Analyst, expects Target and other retails to have a better second half of the year. Liz Ann Sonders, Charles Schwab Chief Investment Strategist, a lot of what the market has been facing is priced in to stocks. Mark Cabana, Bank of America Head of US Rates Strategy, says we're in the later innings of the economic cycle. See omnystudio.com/listener for privacy information.
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Jun 6, 2022 • 23min

Surveillance: Optimistic Case with Calvasina (Podcast)

Lori Calvasina, RBC Capital Markets Head of US Equity Strategy, expects a material slowdown in economic growth while skirting a recession. Bruce Kasman, JPMorgan Chief Economist and Head of Global Economic Research, says US growth is slowing, but there is no recession coming in the near-term. Helane Becker, Cowen Senior Research Analyst, says any airline besides American, Delta or United, is going to continue struggling to attract and retain pilots. Vishy Tirupattur, Morgan Stanley Global Director of Fixed Income Research, says credit has a valuation problem. See omnystudio.com/listener for privacy information.
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Jun 3, 2022 • 19min

Surveillance: US May Jobs Report (Podcast)

Marty Walsh, US Secretary of Labor, reacts to the US jobs report. Randy Kroszner, University of Chicago Booth School Professor of Economics & Former Fed Governor, says the May employment report will spur the Fed to raise rates by 50 basis points at least through September. Jeff Rosenberg, BlackRock Portfolio Manager of the Systematic Multi-Strategy Fund, says the labor market is "too strong." Jerome Schneider, PIMCO Head of Short-Term Portfolio Management, explains the reasons for investors to remain defensive. See omnystudio.com/listener for privacy information.

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