Insights and analysis from leading investment, property and philanthropy experts within Barclays Private Bank. This series of podcasts will look at the trends, challenges and opportunities for those investing, buying property and giving in these turbulent times.
Markets Weekly Podcast (27 June 2022): What does increased recession risk mean for equity markets?
Tune in as Dorothée Deck, our Cross Asset Strategist, takes an in-depth look at global equity markets amid aggressive sell-offs and a challenging macroeconomic environment. She’s joined by Henk Potts, our Market Strategist, who turns his attention to the risk of recession in the major regions, UK inflation, and eurozone PMI.
Markets Weekly Podcast (20 June 2022): Spotlight on the US economy
In this special edition of our Markets Weekly podcast, Henk Potts, Market Strategist, takes a deep dive into the US economy. Listen in to hear what’s been driving recent performance, and where we see growth, inflation, and interest rates heading from here.
Monthly markets podcast India (June 2022): What’s next for Indian investors in 2022?
Against a backdrop of elevated inflation, weakening growth and tighter financial conditions, Rahul Bajoria, Barclays’ Chief Economist for India and the Antipodes, addresses the key challenges and opportunities facing India as we enter the critical monsoon season. And Narayan Shroff, Investment Director for Barclays Private Clients India, provides his usual monthly round-up of India’s financial markets after a rocky period for investors.
Markets Weekly Podcast (13 June 2022): Where next for the FX markets?
Join Bhaskar Gupta, our Head of FX Distribution UK, as he explores key events in FX markets during the first half of 2022, and the impact of high inflation and geopolitical uncertainty. While Henk Potts, our Market Strategist, discusses rising commodity prices and the potential of a recession in the eurozone.
Markets Weekly Podcast (06 June 2022): What could NFTs mean for digital asset markets?
Tune in as Nikola Vasiljevic, our Head of Quantitative Strategy, answers some common questions on the potential risks and opportunities of non-fungible tokens (NFTs). While Julien Lafargue, our Chief Market Strategist, discusses the re-opening of China and the most recent data from the US labour market.
Markets Weekly Podcast (30 May 2022): Where next for the clean energy transition?
Tune in as Damian Payiatakis, our Head of Impact and Sustainable Investing, discusses the progress of Europe’s transition to cleaner energy sources amid market volatility and war in Ukraine. While Julien Lafargue, our Chief Market Strategist, discusses latest earnings data from retailers and considers the outlook for the US economy amid signs that inflation could be easing.