Quarterly Outlook
Macro Outlook: The US rate cut cycle has begun
Peter Garnry
Chief Investment Strategist
Summary: Today we discuss the lack of conviction in the market after the action spilled lower below the 200-day moving average but failed to follow through and backed up to close the session higher, despite fresh pressure from rising yields, as the 10-year treasury benchmark took out the 4.00% level. In equities, a breakdown of what European equities have to offer relative to US equities. In commodities, focus on gold and natural gas. A look at the week ahead calendar for both earnings and especially macro as well. Today's pod features Garnry on equities, Ole Hansen on commodities and John J. Hardy hosting and on FX.
Listen to today’s podcast - slides are available via the link.
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