Moving Markets

Julius Baer

Moving Markets is the home of podcasts at Julius Baer. Here, our expert teams share concise daily market updates in ‘Moving Markets Daily’ which is complemented by ‘Moving Markets: The View Beyond’, a weekly show dedicated to discussing the context, thematic angles, and investment implications behind key topics shaping the news cycle and conversations among our relationship managers and clients. The information contained in this podcast is marketing material. Opinions expressed do not constitute independent financial/investment research, investment advice, or an offer to buy or sell securities by Julius Baer. Please refer to www.juliusbaer.com/legal/podcasts for important legal information prior to listening to this podcast.

  1. The View Beyond: Thoughts from our CIO on how to invest in a crisis

    15 hr ago

    The View Beyond: Thoughts from our CIO on how to invest in a crisis

    The role of a Chief Investment Officer is multifaceted – acting as both the guardian and the architect of a company’s investment process, and preventing people from making mistakes that might destroy value. A key requisite for the job is the ability to stay calm amid the panic when a global crisis hits. In this special edition of The View Beyond, produced jointly with the World Economic Forum's Radio Davos, Bernadette Anderko and WEF Editor Robin Pomeroy sit down with Julius Baer's Group CIO Yves Bonzon to explore the history and nature of recent crises. Yves has spent more than three decades steering portfolios through other people's worst weeks: the crash of '87, the Asian crisis 10 years later, 2008’s Global Financial Crisis, COVID, the tariff wars, and now of course the war in Iran. He explains why each crisis provides opportunities to make a difference. After all, in the face of a crisis, a CIO must decide: is history repeating itself, or is a new paradigm emerging? (00:00) - Introduction: A special joint episode from Julius Baer and Radio Davos (02:02) - Crisis navigation: Every crisis is different (03:30) - Exogenous vs. endogenous shocks (06:48) - Oil, markets, and resilience (11:31) - Looking back to the financial crisis of 2008 (13:50) - Crises are opportunities to make a difference (16:25) - Balancing risk mitigation and opportunity (20:26) - Liquidity events in turbulent times (22:32) - Private markets vs. public markets (23:34) - When does a crisis become a crisis? (29:29) - How crises and responses have evolved since the 1980s (33:04) - Emotional decisions and the cost of anchoring (35:18) - Education, discipline, and the importance of process (38:47) - Closing remarks and legal disclaimer Would you like to support this show? Please leave us a review and star rating on Apple Podcasts, Spotify or wherever you get your podcasts. Radio Davos is the flagship weekly podcast from the World Economic Forum. Get it on any podcast app:https://pod.link/1504682164. Find all Forum podcasts at  wef.ch/podcasts and YouTube(https://www.youtube.com/@wef/podcasts).

    40 min
  2. The View Beyond: Waiting for the gold rally to resume

    30 May

    The View Beyond: Waiting for the gold rally to resume

    After a period of relative calm, gold has re-emerged as a focal point for investors amid geopolitics, shifting central bank strategies, and evolving global demand. How should investors interpret gold’s recent volatility, and what does the outlook hold as we move through 2026? In this episode of Julius Baer’s Moving Markets:The View Beyond, Ayako Lehmann is joined by Carsten Menke, Head of Next Generation Research, and Chris Irwin, Head of FX and Precious Metals Trading Asia at Julius Baer, to discuss the drivers behind gold’s remarkable run, the impact of central bank activity, and the changing dynamics of investment demand. The conversation covers gold’s behaviour during recent global shocks, the significance of central bank buying (and selling), the evolving role of ETFs, and the influence of Asian and Indian markets. The episode concludes with an outlook for gold through the remainder of 2026, highlighting both the structural and cyclical forces at play. (00:00) - Introduction (01:21) - Lessons from recent events (03:08) - The role of geopolitics in gold’s long-term performance (04:15) - Central bank buying (06:16) - A multipolar world and central bank strategies (07:10) - Investment demand and the shifting role of ETFs (09:15) - US monetary policy (10:45) - Trading trends in the US and China (12:51) - China’s investment flows and retail participation (13:44) - India’s import tax hike and its impact on gold demand (15:57) - Outlook for gold in 2026 (18:28) - Closing remarks and legal information Would you like to support this show? Please leave us a review and star rating on Apple Podcasts, Spotify or wherever you get your podcasts.

    19 min

About

Moving Markets is the home of podcasts at Julius Baer. Here, our expert teams share concise daily market updates in ‘Moving Markets Daily’ which is complemented by ‘Moving Markets: The View Beyond’, a weekly show dedicated to discussing the context, thematic angles, and investment implications behind key topics shaping the news cycle and conversations among our relationship managers and clients. The information contained in this podcast is marketing material. Opinions expressed do not constitute independent financial/investment research, investment advice, or an offer to buy or sell securities by Julius Baer. Please refer to www.juliusbaer.com/legal/podcasts for important legal information prior to listening to this podcast.

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