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The Flip Side

Barclays Investment Bank
The Flip Side
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5 de 72
  • Is the US bond market starting to rebel?
    US Treasury bonds are widely regarded as the “world’s risk-free asset.” However, in recent weeks, global investors have increasingly shied away from 30-year US bonds, opting for flexible, shorter-term maturities, due to a combination of growing interest rate risk, sticky inflation and economic uncertainty.As a result, 30-year interest rates are within striking distance of their highest level since the global financial crisis. This demand for risk premium is not limited just to US long-dated bonds; UK gilts and Japanese 30-year bonds have also experienced new highs recently, suggesting the bond market could be starting to rebel.In episode 72 of the Flip Side podcast, our Global Head of Research Brad Rogoff joins Global Chairman of Research Ajay Rajadhyaksha to assess the situation and debate whether the high rates are transitory or here to stay.Clients of Barclays Investment Bank can read further analysis of these topics in the latest Global Rates Weekly titled ‘Unusual uncertainty’ on Barclays Live.
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  • Is this the end of the dollar as we know it?
    Following the 2024 US election, predictions of a dollar rally were easy to come by, based on the presumption that President Trump would implement his proposed trade agenda. While Liberation Day and subsequent trade negotiations see some of those expectations realised, the dollar rally hasn’t materialised. In fact, the narrative has turned to widespread concern that the age of the “mighty dollar” is coming to an end. With investors seemingly losing faith in the Greenback, Global Head of Research Brad Rogoff sits down with Themos Fiotakis, Head of FX Research, to discuss whether cyclical issues, including new trade policies, are squeezing the dollar or if more structural forces, such as the longer term de-dollarisation of reserves, are at play. Clients of Barclays Investment Bank can read further analysis of these topics in ‘The end of the dollar as we know it?’ on Barclays Live.Important content disclosures
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  • Will tariffs trigger a recession?
    The course of the US economy has changed since the beginning of April, when tariffs were introduced – and subsequently paused. This, combined with reduced immigration and already waning consumer and business confidence in the face of growing economic and geopolitical uncertainty, raises the question: have these tariffs introduced the possibility of a recession in 2025?In this episode, Global Head of Research Brad Rogoff sits down with Ajay Rajadhyaksha, Global Chairman of Research, to unpack the economic effect, debating whether the anticipated slowdown in growth will lead to a recession in an economy that grew at 2.5% in 2024. Brad and Ajay examine key economic areas, including the labour force, consumer spending, business investment and currency effects as they discuss what’s next for the US economy.Clients of Barclays Investment Bank can read further analysis of these topics in our Q2 2025 Global Outlook report and on our Tariffs 2.0 Hub on Barclays Live.
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  • Is there too much hype for AI and the hyperscalers?
    AI has been a major focal point for investors as tech companies compete for an edge in the race to deliver on its promises.The hyperscalers – tech giants like Microsoft, Amazon, Alphabet and Meta – have invested heavily in developing massive data centres, spending billions to stay ahead. But could DeepSeek, the Chinese startup, force a fundamental rethink of what’s required for AI to advance? In episode 69 of The Flip Side, Brad Rogoff, our Global Head of Research, and Ross Sandler, Head of Consumer Internet Equity Research, dive into the potential long-term effects of DeepSeek’s breakthrough. They explore whether hyperscalers still live up to the hype and how future AI innovations could alter the competitive landscape.
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  • Will European equities outperform the US in 2025?
    Europe is the top performing region year to date in equity markets. Can this outperformance be sustained given the Stoxx 600 has underperformed compared to the S&P 500 over the last 25 years? Even backing out Big Tech from indices, European stocks are significantly discounted compared to their American peers.In episode 68 of The Flip Side, Venu Krishna, Head of US Equity Strategy & Global Equity Linked Strategies, and Emmanuel Cau, Head of European Equity Strategy, consider the factors investors should watch, from the macro and geopolitical backdrop on both sides of the pond, to the influence of the Magnificent 7 and currency and rate effects.Clients can read further analysis of these topics under Equity Strategy on Barclays Live.
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This podcast series features a lively debate between two of Barclays’ Research analysts taking opposing viewpoints on timely topics of importance to economies and businesses around the globe. By hearing arguments and insights on both sides, we hope you will come away with a greater understanding of the economic implications of sometimes polarizing issues. For more insights from our experts: https://www.ib.barclays Important content disclosures: https://www.ib.barclays/disclosures/important-content-disclosures.html
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