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Morgan Stanley ยท 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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Mike Wilson: Earnings, The Fed and Consumer Spending

08 May 2023
3m
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This podcast episode analyzes the Q1 earnings results and Fed's impact on the economy. The discussions focus on earnings per share being at lower estimates due to a downward trend in earnings growth and margins. Despite this, the equity market still expects both interest rate cuts and durable growth. The Alpha Wise Con...

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Andrew Sheets: The Prospect of a Pause in Rate Hikes

05 May 2023
2m
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This podcast episode analyzes the impact of the Federal Reserve's recent rate hike pause on the stock and bond markets. While historically a pause in rate hikes has led to positive stock market returns, concerns linger due to the current weaker economic conditions. However, US Treasury bonds have consistently performed...

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Graham Secker: Will European Equity Resilience Continue?

04 May 2023
3m
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This podcast episode analyzes the resilience of European equities amidst the dominance of global tech stocks. It emphasizes advantages like lower valuations, which make European stocks attractive alternatives for investors. The European economy's lower downside risk and a healthier banking sector offer broader macro su...

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Michael Zezas: Congress Contends with the Debt Ceiling

03 May 2023
2m
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This podcast episode highlights the importance of early negotiations regarding the debt ceiling in the United States, due to uncertainties related to the X date. The X date is the point when the Treasury Department could run out of money to fulfill government obligations and has become a moving target due to changes in...

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Global Economy: Global Challenges Drive Productivity Investment

02 May 2023
6m
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This podcast episode discusses the relationship between globalization, labor supply, productivity, and the impact of technology advancements. The transition away from globalization has led to challenges in finding skilled labor, driving the need for productivity improvements. Furthermore, AI and automation are revoluti...

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Vishy Tirupattur: Liquidity, Regional Banks and Potential Regulation

01 May 2023
3m
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This podcast episode analyzes the market implications of JP Morgan's acquisition of First Republic and the Federal Reserve's proposed regulatory changes for smaller banks. The liquidity pressures indicated by increased borrowings from the Fed are also examined. The potential impact on deposit durations and the conseque...

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Ed Stanley: The Risky Path to a Multipolar World

28 Apr 2023
3m
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This podcast episode dives into the shifting landscape of global supply chains, exploring the transition from a globalized unipolar structure towards a multipolar world. It highlights the potential outcomes for global supply chains, including gradual de-risking or full decoupling, driven by policy measures like trade r...

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Matthew Hornbach: The Return of Government Bonds

27 Apr 2023
3m
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This podcast episode analyzes the impact of inflation, central bank policies, and investor concerns on government bond returns, highlighting the challenges faced by US Treasuries in 2022. It explores the moderation of inflation, central banks' responses, and the shift in investor focus from the speed of inflation's ris...

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Michael Zezas: The Great Productivity Race

26 Apr 2023
2m
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This podcast episode delves into the Great Productivity Race, a pivotal trend shaping the market, wherein US multinational companies must invest in new technologies to sustain output in a multipolar world. The transition to a multipolar landscape has caused a contraction in the labor pool, posing challenges in securing...

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Andrew Sheets: The U.S. Dollar and Cross-Asset Portfolios

25 Apr 2023
2m
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This podcast episode examines the recent decline in the value of the U.S. dollar and explores the potential implications for cross-asset portfolios. The podcast's foreign exchange strategists believe that the dollar may strengthen from a longer-term perspective due to its diversification benefits, while the dollar's po...

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Sustainability: Decarbonization in the Steel Industry

24 Apr 2023
8m
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This podcast episode explores the challenges and opportunities in decarbonizing the steel industry, which accounts for 3.6 billion tons of CO2 emissions annually. The H2DRI EAF process, which uses renewable energy sources to reduce carbon emissions by 99%, is seen as a promising path to decarbonization, but it faces su...

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Andrew Sheets: What is Behind Equity Market Strength?

21 Apr 2023
3m
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This podcast episode examines the factors underlying the resilience of stock markets in 2023 despite economic headwinds. The speakers posit that while growth and earnings have been robust, the Fed's liquidity injections and investor sentiment have also played a role. However, they emphasize that the market's performanc...

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Mark Purcell: The Evolution of Cancer Medicines

20 Apr 2023
3m
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This podcast episode explores the transformative potential of Smart Chemotherapy, a targeted therapy approach that combines antibodies with chemotherapy to deliver treatment directly to cancer cells. By using antibodies to target cancer cells more precisely, Smart Chemotherapy can reduce damage to healthy tissues, lead...

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Michael Zezas: The Costs of a Multipolar World

19 Apr 2023
2m
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This podcast episode explores the implications of a multipolar world, where multiple power bases, including China and Europe, shape global commerce. It highlights the challenges for companies operating globally as they navigate different regulatory and political environments and discusses the influence of US non-tariff...

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Vishy Tirupattur: Tumult in the Banking Sector

18 Apr 2023
4m
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This podcast episode discusses the potential regulatory changes that may be implemented in the banking sector, particularly focused on regional banks. The speakers believe that regulatory changes are likely in response to recent banking sector turmoil and significant intervention by the authorities. They highlight pote...

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Mike Wilson: Credit Crunch in the U.S Equity Markets

17 Apr 2023
4m
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This podcast episode emphasizes that a credit crunch has begun in the U.S., marked by record declines in lending by banks and a surge in selling of mortgages and treasuries. Bank failures have occurred due to a combination of factors, including long-duration Treasury holdings, deposit concentration risks, and Fed rate ...

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Sustainability: The Risks and Benefits of A.I

14 Apr 2023
8m
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This podcast episode delves into the potential opportunities and risks associated with the integration of AI into various sectors. Experts emphasize the benefits of AI in boosting financial performance, enhancing biodiversity protection, and improving education and agriculture practices. However, concerns regarding bia...

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Jonathan Garner: Asia Equities Rally Once More

13 Apr 2023
3m
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This podcast episode discusses the recent correction and ongoing bull market in Asia and emerging market equities. The correction, which lasted for six weeks in February and March, was caused by external factors such as banking sector risks in the US and Europe. However, EM assets have since stabilized and begun to ral...

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Chetan Ahya: Global Impacts on Asia's Growth

12 Apr 2023
3m
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This podcast episode discusses the economic outlook for Asia in light of recent global financial developments. While Asia faces some downside risks, it is still expected to outperform developed markets. Mitigating factors include easier financial conditions, lower commodity prices, and continued growth in China. Additi...

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U.S Housing: The Future of Mortgage Markets

11 Apr 2023
4m
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This podcast episode discusses the implications of the FDIC's liquidation of $114 billion in agency mortgages on the mortgage market. The market is liquid and can quickly adjust to this news, but the size of the liquidation is significant. The composition of the mortgages being liquidated, with their low fixed coupons ...

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