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Boris is one of the top macro thinkers in the market. He is a managing director at Goldman Sachs. Before GS, he was partner and portfolio manager at Rokos Capital Management, Fortress and Brevan Howard. Boris started his career on the sell-side which included working at UBS and Dresdner. Boris will be giving his personal opinions and not those of Goldman Sachs or any other organisations he is affiliated to. In this podcast, we discuss:
1) Increased volatility in the business cycle. 2) How close are we to market crunch point. 3) Three most likely scenarios for the Fed, inflation, and recession. 4) Main street vs Wall Street liquidity. 5) How to understand money supply (M2). 6) How will bonds and equities perform? 7) Which EM markets will perform or not? 8) What typically happens to EM during recessions. 9) The chances of a China stimulus.
4.5
9090 ratings
Boris is one of the top macro thinkers in the market. He is a managing director at Goldman Sachs. Before GS, he was partner and portfolio manager at Rokos Capital Management, Fortress and Brevan Howard. Boris started his career on the sell-side which included working at UBS and Dresdner. Boris will be giving his personal opinions and not those of Goldman Sachs or any other organisations he is affiliated to. In this podcast, we discuss:
1) Increased volatility in the business cycle. 2) How close are we to market crunch point. 3) Three most likely scenarios for the Fed, inflation, and recession. 4) Main street vs Wall Street liquidity. 5) How to understand money supply (M2). 6) How will bonds and equities perform? 7) Which EM markets will perform or not? 8) What typically happens to EM during recessions. 9) The chances of a China stimulus.
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