
Strategic Alternatives
Uncover new ways to drive growth and create value with insights from our capital markets experts.
Latest episodes

Feb 20, 2025 • 19min
The forces behind the momentum in asset-backed securities
The ABS market has evolved, expanding into new and non-traditional asset classes while attracting a broader investor base. Which sectors are driving this growth, and how might U.S. policy shifts shape the market’s trajectory? ABS specialists Sofia Shields and Nick Rogers share their insights in this episode of Strategic Alternatives.

Feb 10, 2025 • 24min
Global Financial Sponsors Hot Button Topics and Trends
Sponsor-backed deals are recovering steadily rather than spectacularly, but 2025 offers strong signs for cross-border activity in particular. In this episode of Strategic Alternatives, RBC Capital Markets’ Co-Heads of Global Financial Sponsor Coverage – Harold Varah, Graham Tufts and Ram Amarnath – assess the trends and opportunities for the year ahead.

Feb 5, 2025 • 40min
Navigating the Impact of U.S. Tariffs on Canada
After tariffs were delayed, RBC’s Chief Economist Frances Donald spoke with Ram Amarnath, Co-Head of Global Financial Sponsors and Head of Canadian Diversified Industries at RBC Capital Markets, about the potential impact of 25% tariffs on the Canadian economy and what corporations, investors and policymakers in Canada and the U.S. need to think about in the weeks and months ahead.

Dec 24, 2024 • 25min
Navigating markets in 2025: Whipsaws and fatter-tails call for tactical moves
Blake Gwinn, Head of US Rates Strategy at RBC Capital Markets, brings his sharp insights on navigating the turbulent waters of financial markets. He highlights the Fed's hawkish stance and its implications for interest rates. The discussion unveils the unpredictable nature of volatility, likening the stock market to a 'paddling duck' with calm exteriors hiding chaos beneath. They also explore corporate strategies amidst a changing labor market and the need for adaptability in the face of potential tariffs impacting 2025 forecasts.

Dec 20, 2024 • 28min
Will Australia’s Consumers Rally in 2025?
Australia’s hopes for some strengthening in growth in 2025 rest on a pickup in household spending to support the public demand currently underpinning the economy. Meanwhile, housing, immigration, and inflation pose interlinked challenges – with geopolitical risks on the horizon. Chief Economist, Su-Lin Ong, and Macro Rates Strategist, Rob Thompson, join Rod Ireland, Head of Global Markets, APAC, to assess the prospects in this episode of RBC Capital Markets’ Strategic Alternatives podcast.

Dec 20, 2024 • 21min
2025 Outlook: Europe’s economies brace for more political upheaval
Peter Schaffrik, Chief European Macro Strategist at RBC Capital Markets, breaks down Europe's economic landscape as it gears up for 2025. He discusses how recession seems avoidable yet growth remains elusive amid political instability. Schaffrik highlights the evolving role of central banks in a shifting interest rate environment and the complexities of fiscal policies impacting trade. He also examines opportunities for investors navigating uncertainties, including inflation and geopolitical tensions.

Dec 10, 2024 • 33min
Which policies will impact the U.S. economy in 2025?
2025 will see the U.S. economy diverge even further from other developed nations, in ways that begin to look structural rather than cyclical. That’s one of the predictions from RBC Capital Markets’ Chief Economist Frances Donald and U.S. Economist Mike Reid in their outlook for the next year. They join Vito Sperduto, Head of RBC Capital Markets U.S. to weigh the economic impact of the incoming administration’s policies – and the tough line the Fed will need to tread in 2025.

Dec 9, 2024 • 34min
Productivity and affordability: Canada’s top challenges in 2025
Frances Donald, RBC's Chief Economist, offers keen insights into Canada's economic future as it navigates significant challenges in 2025. She discusses the stark divergence from U.S. growth and monetary policy, fueled by changes in trade dynamics and political leadership. The conversation dives into pressing issues like rising economic inequality, the impact of immigration on labor and housing, and the urgent need for effective solutions to Canada’s housing affordability crisis. Donald outlines the complex interplay between economic growth, inflation, and policy measures.

Dec 6, 2024 • 33min
2025 Global M&A Outlook: Confidence meets caution
Larry Grafstein, Deputy Chair of Global Investment Banking at RBC, joins Mark Rushton, European co-head of M&A at RBC Capital Markets, to explore the dynamic M&A landscape leading to 2025. They discuss how lighter regulation may facilitate dealmaking in the U.S. while analyzing the impact of political changes on market sentiments. The duo highlights the resurgence of private equity and emerging trends in corporate activism, particularly how these factors shape M&A strategies in North America and Europe.

Dec 3, 2024 • 25min
From IPOs to M&A: Shifting strategies at RBC’s 2024 TIMT Conference
At RBC’s 2024 Global Technology, Internet, Media, and Telecom (TIMT) Conference, equity capital markets bankers sat down to discuss the key trends in the tech sector, and how this will catalyze activity in the IPO and broader equity market, M&A, private markets and more moving into 2025.