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Morgan Stanley · Investment

Thoughts on the Market

Short, thoughtful and regular takes on recent events in the markets from a variety of perspectives and voices within Morgan Stanley.

Episodes

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U.S. Economy: What AI Means for People Doing Multiple Jobs

29 Sep 2023
9m
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This podcast episode delves into the multi-earning trend, where individuals hold multiple jobs or income streams. Fueled by the post-COVID labor scarcity and accelerated by generative AI, multi-earning has gained momentum, allowing workers to increase their earnings by up to 21%. The current market size is estimated at...

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Jonathan Garner: Volatility in Asia and Emerging Markets

28 Sep 2023
3m
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This podcast episode discusses Morgan Stanley's recent caution towards emerging markets, particularly China and Taiwan, while recognizing India's attractive outlook. Despite the volatility and risks associated with emerging markets, the speakers emphasize the potential benefits of strategic allocations. They also intro...

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U.S. Policy: The Economic Impact of a Government Shutdown

27 Sep 2023
5m
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This podcast episode delves into the political landscape surrounding the looming government shutdown and its implications for the economy and financial markets. Experts discuss the potential impact of the Senate C.R. on avoiding a lapse in appropriations, noting that the situation remains uncertain and could lead to a ...

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Andrew Sheets: GDP, Inflation and a Possible Government Shutdown

26 Sep 2023
3m
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This podcast episode discusses the market weakness in stocks and bonds, influenced by concerns about ongoing interest rate hikes by central banks. While investors were initially hopeful following the Federal Reserve's decision not to raise rates, they remain apprehensive due to persistent inflation and a strong economy...

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Mike Wilson: A Shift in Stock Personalities

25 Sep 2023
4m
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This podcast episode discusses the impact of rising interest rates on stock market valuations and the performance of cyclical and defensive sectors. The increasing importance of interest rates in determining equity performance is highlighted, and the market's oversized response to the Fed's meeting signals potential co...

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Andrew Sheets: The Rise of Corporate Bond Yields

22 Sep 2023
3m
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This podcast episode explores the factors driving the continued outperformance of corporate credit over equities. Despite modest declines in stock prices, credit spreads have remained tight due to favorable supply and demand dynamics, lower corporate issuance, and the mechanical advantage of credit in a high-interest r...

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US Economy: Stronger Growth in the U.S. Economy

21 Sep 2023
6m
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This episode explores the U.S. economic implications in the final quarter of 2023. While growth estimates have been revised upward, disinflation is expected to progress faster than initially anticipated. Despite rising oil prices and consumer spending headways, the labor market's resilience should continue to support c...

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Michael Zezas: China’s Evolving Economy

20 Sep 2023
2m
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This podcast episode analyzes the potential impacts of China's economic challenges on global markets. While a debt deflation cycle in China remains a concern, the podcast highlights that China's slowing growth is already having an impact. This could lead to disinflation exports to developed market countries, potentiall...

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Kickstarting the U.S. Mining Industry

19 Sep 2023
8m
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This podcast episode explores the decline of the U.S. metals and mining industry and China's dominance in the critical minerals market. It discusses the factors leading to this decline, including environmental concerns and economic considerations, and the geopolitical and economic uncertainties created by China's domin...

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Seth Carpenter: The ECB, The Fed and Oil Prices

18 Sep 2023
4m
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This podcast episode discusses the European Central Bank's (ECB) recent decision to raise interest rates despite signs of a weakening economy. The ECB cited high inflation as the reason for the rate hike, but analysts believe that the bank may have overreacted to headline inflation. The podcast also examines the potent...

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Thematic Research: How AI Can Transform Travel Booking

15 Sep 2023
8m
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This podcast episode dives into the transformative impact of AI on the travel industry, from enhancing the booking experience to revolutionizing travel research. AI is set to empower consumers with personalized recommendations and efficient bookings, while brands can harness its power for targeted marketing and optimiz...

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Martijn Rats: Why Energy Sector is Attractive Once Again

14 Sep 2023
3m
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This podcast episode discusses the recent surge in oil and refined product prices, driven by robust demand and OPEC production cuts, particularly from Saudi Arabia. The global refining system has faced challenges due to capacity closures and logistical difficulties, leading to tightness in the refined product market. T...

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U.S Housing: The Impact of Raising Rates

13 Sep 2023
5m
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This podcast episode explores the impact of the recent increase in mortgage rates on the housing market, with a focus on the lag in home price data. Despite the increase in rates, the speaker remains optimistic about home prices due to the lagged nature of this data. Affordability has worsened, leading to a decline in ...

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Vishy Tirupattur: U.S. and China on Divergent Paths

12 Sep 2023
3m
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This podcast episode emphasizes the outperformance of the US economy and the underperformance of China's economy, prompting economists to revise their 2023 growth expectations accordingly. The speakers maintain a long duration strategy despite market uncertainties, favoring bonds over equities and maintaining a defensi...

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Global Economy: Fall Outlook for Rates and the Economy

11 Sep 2023
9m
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This podcast episode dives into economic and market developments during summer 2022. It unpacks the rise in Treasury yields, examines the debate on the neutral rate of interest (r-star), and considers factors influencing the recent sell-off in Treasury yields. The speakers delve into narratives surrounding the sell-off...

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Andrew Sheets: A Murky Forecast for Equities and High-Yield Bonds

08 Sep 2023
3m
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This podcast episode discusses the approaching end to the Federal Reserve and European Central Bank's interest rate hiking cycles, citing improved inflation data and decelerating growth as evidence. As a result, high-grade bonds are expected to perform well. Nevertheless, the outlook for riskier assets, like equities a...

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Stephen Byrd: Watch Out for El Niño

07 Sep 2023
3m
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This podcast episode explores El Niño, a periodic warming of the tropical Pacific Ocean, and its potential risks and impacts for investors. El Niño is part of the El Niño-Southern Oscillation (ENSO) and has significant effects on global weather and economic conditions. The current forecast indicates a 70% probability o...

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Michael Zezas: Congressional Return Raises Questions for Markets

06 Sep 2023
2m
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This podcast episode provides a comprehensive overview of key issues to watch in Washington, D.C., including tech regulation, defense spending, and the risk of a government shutdown. The speakers highlight potential new legislative proposals on data privacy and misinformation liability due to growing bipartisan concern...

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Mike Wilson: Are Stocks Beginning to Question Economic Resiliency?

05 Sep 2023
3m
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This podcast episode delves into the intricate relationship between stock prices and fundamental analysis. It highlights how stock prices, as discounting machines, provide insights into future prospects rather than current realities. The recent bullish shift in fundamentals, driven by strong stock performance, is exami...

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U.S. Consumer: How U.S. Consumers Are Shopping to Go Back to School

01 Sep 2023
6m
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This podcast episode focuses on the significance of back-to-school shopping as an indicator of consumer health. While initial data shows weaker-than-average in-store sales in July, August sales are expected to be stronger, resulting in a moderate back-to-school spending year. However, the shift towards consumables and ...

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