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Cam and Kirsten discuss a week when investors recovered appetite for exposure to US assets despite various headwinds still in the mix. Among drivers was a shift in the consensus on what decisions will be made by the Federal Reserve, in terms of the aggressiveness of rate hikes, which helped US Equity Funds post a significant inflow.
More insight included on the value seen in the Chinese market, the connection between Silver and Industrial Sector Funds, and the ECB & Europe Bond Funds.
If you have a question about this episode, want to request a demo of our data, or talk to an EPFR expert today... Contact us now!
By Kirsten Longbottom & Cameron Brandt5
22 ratings
Cam and Kirsten discuss a week when investors recovered appetite for exposure to US assets despite various headwinds still in the mix. Among drivers was a shift in the consensus on what decisions will be made by the Federal Reserve, in terms of the aggressiveness of rate hikes, which helped US Equity Funds post a significant inflow.
More insight included on the value seen in the Chinese market, the connection between Silver and Industrial Sector Funds, and the ECB & Europe Bond Funds.
If you have a question about this episode, want to request a demo of our data, or talk to an EPFR expert today... Contact us now!