26 May 2023
7m

The Markets: Are markets pricing in the potential of a default?

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This podcast episode discusses the impending debt ceiling crisis and its impact on equity markets, addressing concerns about a potential debt default and the resilience of the US dollar as a reserve currency. It examines market conditions, emphasizes risk aversion among investors, and suggests strategies for generating returns beyond the benchmark. Additionally, it highlights upcoming economic data points that investors should watch to make informed decisions.

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