Podcast: US capitulation, Nickel madness, EU joint debt blast
Saxo Market Call
Summary: Today we look at the continuing wild ride for global markets as commodities price movements have become so extreme that things are beginning to break in places - especially in the Nickel market, where a short squeeze triggered a shutdown as we were recording the podcast. We also looked at the live market reaction while recording to news of a massive new joint EU debt issuance that drove a sharp sentiment shift this morning in Europe. A dive into energy themes, wheat, Russian default risks, US treasuries and more on today's pod, which features Peter Garnry on equities, Ole Hansen on commodities, Althea Spinozzi on fixed income and John J. Hardy hosting and on FX.
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Latest Market Insights
Quarterly Outlook Q3 2022: The Runaway Train
- Winter is coming to the financial markets as central banks are tightening their grip. How spring will look is still a question.
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