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The Saxo strategy team delivers insights and opinions about financial markets three times a week. Monday’s episode will focus on the events that have unfolded in the past week and what you should pay attention to in the coming week. Tuesday’s episode will focus on equities both in terms of performance and other relevant developments. Thursday’s episode will focus more narrowly on a specific topic, which can be everything from earning seasons, to yield curves and oil prices. The podcast will feature a wide array of Saxo’s financial experts.
- 1116 - Theme: why you should pay attention to the US Quarterly Refunding Announcement
In today's episode, Søren Otto is joined by Althea Spinozzi, head of fixed income strategy. The two dive into the US so-called quarterly refunding announcement, which is a lesser known financial event, but nonetheless one, which may impact your investment portfolio. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Wed, 01 May 2024 - 23min - 1115 - Equities: Earnings roll on
In today's equity episode, Peter Garnry is back in the studio with Søren Otto. As major companies will report their Q1 earnings this week, this will be the focus of this episode. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Tue, 30 Apr 2024 - 19min - 1114 - Macro: Japanese drama - what's next for the yen?
In today's episode, Charu Chanana is talking about macro. Søren Otto is the host. They discuss last week's events such as the BoJ meeting, and US PCE. They also look ahead to ta busy week where especially the FOMC meeting and the Japanese yen are in focus. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Mon, 29 Apr 2024 - 25min - 1113 - Theme: Deciphering Asian forex interventions
In today's episode, Søren Otto is joined by Charu Chanana to talk about the rumoured currency interventions in China and Japan. They discuss the what, why and how of interventions and dive into the two markets, looking at the specifics for either country. They also ponder over the implications for traders engaged in forex markets. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Thu, 25 Apr 2024 - 32min - 1112 - Equities: Will this be the end of the magnificent seven?
In today's equity episode, Peter Garnry is back in the studio with Søren Otto. They talk earnings, as many of the US tech stocks will report this week. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Tue, 23 Apr 2024 - 23min - 1111 - Macro: earnings battle geopolitics and macro figures for centre-stage
In today's episode, macro is in focus as Peter Garnry is standing in for Charu Chanana. Søren Otto is the host. Peter and Søren discuss last week's EU and UK inflation, Fed speakers, Japanese inflation and geopolitics. They also look towards a busy week with earnings, macro figures and a potential FX intervention in Asia. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Mon, 22 Apr 2024 - 23min - 1110 - Theme: How geopolitical uncertainty affects bond and commodities
In today's thematic episode, Søren Otto is joined by no less than two experts, as Althea Spinozzi and Ole S. Hansen both join in the studio. The three discuss how the growing geopolitical uncertainty affect fixed income and commodities. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Thu, 18 Apr 2024 - 20min - 1109 - Equities: Are earnings overshadowed by geopolitics?
In today's equity episode, Peter Garnry is back in the studio with Søren Otto. They talk about the latest geopolitical developments and discuss whether that or the earnings season will drive equity markets in the near future. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Tue, 16 Apr 2024 - 23min - 1108 - Special episode: Market reactions to Iran-Israel escalation
This is a special episode that we've decided to put out to provide you with our immediate takes on the market reactions following the Iran attack on Israel over the weekend. The episode features Ole S. Hansen, with Søren Otto as the host. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Mon, 15 Apr 2024 - 06min - 1107 - Macro: Something's brewing in China
In today's episode, macro is in focus as Peter Garnry is standing in for Charu Chanana. Søren Otto is the host. Peter and Søren discuss last week's US CPI and ECB meeting and zero in on the Chinese import and export numbers. They also talk about the upcoming EU and UK inflation figures. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Mon, 15 Apr 2024 - 15min - 1106 - Theme: Quarterly Outlook special
In today's thematic episode, we talk about the Quarter Outlook, which was released last week. Each SaxoStrat explains his or her take and adds a bit of flavour to it. This means that this episode features Peter Garnry, Ole Hansen, Althea Spinozzi and Charu Chanana. Søren Otto is the host. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Thu, 11 Apr 2024 - 33min - 1105 - Equities: What you need to know as the earnings season kicks off
In today's equity episode, Peter Garnry is back in the studio with Søren Otto. They talk about the earnings season, which is beginning this week. Per usual, it is the financial companies in the US that kick things off. Garnry gives his take on, what the expectations are and what to pay attention to. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Tue, 09 Apr 2024 - 18min - 1104 - Macro and FX: NFP, CPI, ECB and Japan
In today's episode, Macro and FX is in focus with Charu Chanana as our expert with Søren Otto as the host. They discuss the nonfarm payroll from Friday, the upcoming CPI number in the US. They also talk about the ECB meeting and the momentum in Japanese market. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Mon, 08 Apr 2024 - 20min - 1103 - Equities and macro: Tesla, Quarterly Outlook and inflation
In today's equity episode, Peter Garnry is back in the studio with Søren Otto. They discuss Tesla's recent earnings and look at the regional equity performance. They also discuss our recently published Quarterly Outlook. Finally, they talk about the biggest macro events in the near past. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Wed, 03 Apr 2024 - 20min - 1102 - Theme: Central bank meeting impact on fixed income
In today's episode, Saxo's Head of Fixed Income Strategy, Althea Spinozzi, discusses how last week's many central bank meetings have impacted the fixed income markets with a special focus on the US, UK, Switzerland and Japan. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Tue, 26 Mar 2024 - 28min - 1101 - Macro & FX: Swiss central bank surprises; PCE and China
In today's episode, Macro and FX is in focus with Charu Chanana as our expert with Søren Otto as the host. The two touch upon last week's central banks meetings and look ahead to Friday's PCE figure. Finally they discuss overall FX views and also the development in Chinese currency. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Mon, 25 Mar 2024 - 25min - 1100 - Theme: Japan's route to abolish negative interest rates
In today's thematic episode, Charu Chanana is in the studio with Søren Otto. They dive into the recent rate hike from the Bank of Japan. They put it into a historical context and discuss why it's significant. They also talk about, how it'll impact markets and what the path is from here. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Wed, 20 Mar 2024 - 34min - 1099 - Equities: Nikkei, Nvidia and PDD
In today's equity episode, Peter Garnry is back in the studio with Søren Otto. They discuss the Japanese Nikkei index in the light of the Bank of Japan rate hike. They also talk about Nvidia and it's new Blackwell platform. Finally, they dive into the earnings of PDD, parent company of online marketplace Temu. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Tue, 19 Mar 2024 - 28min - 1098 - Macro & FX: Central bank meetings all over
In today's episode, Macro and FX is in focus with Charu Chanana as our expert with Søren Otto as host. The focus in this week is central bank meetings with the Federal Reserve's FOMC meeting on Wednesday being the most important. BOJ will demand attention too, while it's also worth keeping an eye on the UK, Swiss and Australian central banks. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Mon, 18 Mar 2024 - 18min - 1097 - Commodities: Action everywhere
In today's thematic episode, Ole Hansen joins Søren Otto in the studio. They take the temperature on the commodity markets with a specific focus on metals. They also talk about cocoa's wild surge, and what to be aware of with grains and natural gas. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Thu, 14 Mar 2024 - 27min - 1096 - Equities: Nvidia, Oracle and CPI
In today's equity-focused episode, Peter Garnry is back in the studio with Søren Otto. They discuss the last week's equity performance around the globe before diving into the Nvidia, which is a company that has had a tough week, which can point to greater issues in equity markets. They also talk about the yesterday's CPI inflation number and Oracle earnings. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Wed, 13 Mar 2024 - 22min - 1095 - Macro & FX: Have soft landing hopes turned into expectations?
In today's episode, Macro and FX is in focus. That means Charu Chanana is our in-house expert. She discusses Jerome Powell's speech and the non-farm payrolls from last week. She also looks ahead to a week where the inflation figure CPI is the most important macro number. Finally, she talks about the Japanese yen and British pound. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Mon, 11 Mar 2024 - 27min - 1094 - Fixed income: Gilts, Treasuries and Century bond
Saxo's Head of Fixed Income Strategies, Althea Spinozzi, discusses this week's ECB meeting, Gilts in the light of the UK budget release and evaluates the coming week's Fed meeting and how it may impact Treasuries. With guest host Melody Morgan. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Fri, 08 Mar 2024 - 20min - 1093 - Equities: ESG criteria for the long term
Saxo's Head of Commercial ESG, Ida Johannesen, discusses how investors can use ESG criteria to make long term investment decisions, and shares her outlook for 2024. With guest host Melody Morgan. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Wed, 06 Mar 2024 - 14min - 1092 - Macro & FX: US jobs data, China's "Two Sessions" & Super Tuesday
In today's episode, Charu Chanana, Saxo's Head of FX Strategy and macro expert, discusses the latest macro and forex news, and what investors should be aware of in the coming week. With guest host Melody Morgan. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Tue, 05 Mar 2024 - 25min - 1091 - Commodities: Why speculative interest is important for everyone
In today's episode we're talking with Ole S. Hansen, Head of Commodity Strategy, about the weekly so-called Commitment of Trader report and discuss why it may be relevant for all investors interested in commodities. We do so by focusing on cocoa, which has seen a very steep price increase. We dig into the why, how and future perspectives for the commodity. We also discuss grain and natural gas and the difference in dynamics in all three commodities. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Thu, 29 Feb 2024 - 24min - 1090 - Equities: Evaluating geographical valuations
In today’s episode it’s all about equities. That also means that Peter Garnry is the host. He takes on a journey from Asia to the US and through Europe to give a status on the valuation of equities in some of the major markets in the world. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Tue, 27 Feb 2024 - 23min - 1089 - Macro & FX: Will markets turn their attention to macro?
In today’s episode Charu Chanana, macro expert and Head of FX strategy. After a week with a very high focus on the Nvidia earnings report, markets may move to focus more on macro figures with one of this week's most important ones being the American PCE. Depending on how it comes out, this may inform Fed's approach to rate policy. She also gives an update on last week's positive performance in China and presents what forex to watch. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Mon, 26 Feb 2024 - 23min - 1088 - Special edition: Why traders and investors should care about the US election
In this special episode of the Saxo Market Call podcast, Peter Garnry, Head of SaxoStrats and Equity Strategy and John J. Hardy, former podcast host and US politics expert, dive into the turbulent seas of the 2024 U.S. Presidential election and its potential impact on the financial markets. Their discussion revolves around key points are relevant for investors and traders alike to get a better understanding of the effects of what promises to be a highly contentious electoral battle on global economic dynamics. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo. This podcast episode was recorded on February 14, 2024.
Thu, 22 Feb 2024 - 28min - 1087 - Equities: Will Nvidia shake the AI boom?
Nvidia's earnings report is the most important event for market sentiment in this week. Expectations are sky high, but past performance has also been remarkable. But the further you go up, the further you risk falling. In today's equity focused episode, Peter Garnry is the expert and he discusses the expectations of Nvidia's earnings and take the temperature of the boom in AI stocks and their expected growth over the past few years. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Tue, 20 Feb 2024 - 27min - 1086 - Macro & FX: How the debate about the US economy has shifted
In today’s episode Charu Chanana, macro expert and Head of FX strategy. She discusses how the debate about the US economy has gone from expecting recession to now looking at a so-called “no-landing” scenario. She also touches on the US dollar, US equities as well as Chinese and Japanese performance. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Mon, 19 Feb 2024 - 21min - 1085 - What rate cuts mean for bond markets
In today’s episode, Althea Spinozzi, Head of fixed income strategy, is the expert. She presents a status of the US and EU bond markets so far in 2024. She then presents what the current development may mean for fixed income in the coming quarter before discussing what that may mean in terms of diversification and positioning. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Thu, 15 Feb 2024 - 21min - 1084 - Is confidence in a soft landing restored?
In this episode, Head of equity strategy, Peter Garnry looks back at an action-packed earnings week and concludes the general vibe of it. Looking ahead to the coming week, there will be less earnings, but a host of important macro figures especially from the US, which are bound to come back in to investors' focus as they judge if we are heading for recession, when rate cuts are happening and whether we will have a soft landing. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Mon, 12 Feb 2024 - 19min - 1083 - Year of the metals
This week's thematic podcast episode is all about metals. Ole S. Hansen, Head of commodity strategy, is the expert. He talks about the idea that 2024 could be the year of metals - especially gold, silver and copper are in focus. He discusses their performance so far, why it may be their year and how curious people can be invested in the sub-asset class. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Fri, 09 Feb 2024 - 26min - 1082 - Has the March rate cut been cancelled?
With Charu Chanana in the studio, we leave the earnings season aside for a while and focus on the macro side of things. We take a look at the US economy in the light of the very strong non-farm payroll report that came out Friday. We also discuss the Red Sea crisis and its implications for oil, freight rates and markets at large. Finally, we assess the financial situation in China and Australia. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Tue, 06 Feb 2024 - 31min - 1081 - Tis the (earnings) season
This week has been teeming with earnings and many of the US mastodons as well as Europe's largest company has reported. Therefore, Peter Garnry is once again in the studio to give us an overview of what has happened and what it means for investors and traders across the globe. It's earnings, earnings, earnings. This episode comes out a little bit later than usual, so we're able to catch the freshest earnings from the US region. We hope you still like it and look forward to listen in. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Fri, 02 Feb 2024 - 32min - 1080 - The biggest earnings week is here
This week is the biggest during this earnings season, as many of the US tech mastodons will report. Therefore, Peter Garnry is in the studio. Before touching on this exciting week, he and Søren Otto also discuss last week's earnings as well as the key figures that come out of the US. The two also talk about the Chinese real estate company Evergrande and the important central bank meetings that also takes places in the coming week. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo. Normalise
Tue, 30 Jan 2024 - 23min - 1079 - Earnings are heating up
In this week's thematic episode, we're talking earnings season with Peter Garnry, Head of equity strategy. We talk about earnings seasons in general and what Garnry pays attention to when reading an earnings report. He also gives his view on some of the biggest reports this week and looks ahead to the coming week, where earnings will roll in. Finally, we talk about how investors can get going by integrating earnings seasons into their investment strategy. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Fri, 26 Jan 2024 - 28min - 1078 - Central banks and key figures run the show
In today's episode of the Saxo Market Call, Charu Chanana, Market Strategist and Head of FX strategy is the expert. Together with Søren Otto, she provides an overview of the financial status in important financial regions. First, she talks about the US and how a variety of factors may impact the timing and pacing of rate cutes by the FED (1.02). She also gives a brief overview of the European situation and how the ECB meeting this week may affect that (6.45), before a short status on the earnings season (9.49). Moving East, Chanana gives a brief take on China's challenges (11.30), before zeroing in on Japan and the BOJ's approach to interest rates (14.30). Finally, she considers how that may affect forex and Japanese equities (22.02). Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Tue, 23 Jan 2024 - 27min - 1077 - Sticking the landing: what a normalising yield curve means for bond investors
In the first episode of our thematic podcast, we zero in yield curve normalisation. The expert in the studio is Head of fixed income strategy, Althea Spinozzi. She talks about how the yield curve is bound to normalise and how that may look depending on whether we see a soft or hard landing - or what she refers to as a 70's landing. She also takes the temperature on both sovereign and corporate bonds to consider the risk and return pictures for the fixed income asset class. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Fri, 19 Jan 2024 - 23min - 1076 - Uncertainty is the name of the game
In today's episode of the Saxo Market Call, Søren Otto and Ole S. Hansen discuss the conflicting CPI and PPI numbers that came out last week and their potential impact on the markets' expectations to rate cuts through the year (01.57). They then talk about the new SEC-approved Bitcoin ETFs (04.48) followed by a brief update on the Taiwan election (9.36). Friday, the banks kicked of the earnings season, which is only going to pick up pace over the next weeks (10.51). As Ole is our commodities expert, we take the temperature on different commodities, starting with gas (12.50), followed by our (15.55), grain (17.36). We end with a discussion about price conviction and what commodities look to have a tough year and which may increase in value in 2024. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo.
Tue, 16 Jan 2024 - 23min - 1075 - Fixed-income: Fair value, inflation report and our outlook for bonds
This is the first fixed-income episode of the year and we are talking about the negative start to the year with rising bond yields and one US rate cut almost being priced out already. We also talk about whether the US 10-year yield here at 4% is attractive and what the risks are and especially in the context of tomorrow's US inflation report. We also talk about our recently published quarterly outlook where we highlighted three scenarios in the economy and how these scenarios will impact the yield curve, with Peter Garnry and Althea Spinozzi. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 10 Jan 2024 - 16min - 1074 - Macro and FX: Upcoming US CPI figures, USD momentum, and musings on China
In today's episode we talk about Friday's US Nonfarm Payrolls and how to read the report while looking ahead to this week's US macro figures across NFIB small business optimism index, initial jobless claims and the important inflation report on Thursday. We also talk about the USD rebound this year and whether momentum can continue and touches on levels in USDJPY and EURUSD. Finally, we touch on the weak sentiment in China and the big batch of Chinese macro data coming out before ending the week with a lot of tensions around the Taiwan election, with Charu Chanana and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Mon, 08 Jan 2024 - 17min - 1073 - Commodities: Crude oil and gold in focus as a new year begins
In today's episode we discuss the developments in the Middle East and how it is impacting crude oil, gold given the expected lower policy rate this year and inflation expectations generally trending down, and finally a perspective on the grains sector that had a terrible 2023, with Ole S Hansen and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and the SaxoStrats here. Click here to open an account with Saxo
Thu, 04 Jan 2024 - 17min - 1072 - Equities: What to expect in 2024?
In the first episode of the year we discuss what to expect in equities. We touch on different topics ranging from BYD overtaking Tesla as the largest EV maker in the world, earnings growth expectations and whether they are realistic, the AI hype and whether it can continue, what we like the most in developed market equities, thoughts on China and India, and whether we can expect a recession or not, with Søren Otto Simonsen and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 03 Jan 2024 - 17min - 1071 - Macro and FX: Watch USD sentiment and BoJ hints on rate policy
This is the last macro episode before the holiday season. We talk about the upcoming macro figures this week and why they might matter less given the Fed pivot on policy rates. The USD weakening last week and we discuss whether the trend will continue into in the year. Finally, we focus on BoJ rate decision tomorrow with expectations looking for no change but markets are certain that BoJ will hint of maybe leaving negative interest rates behind at the January meeting, with Charu Chanana and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Mon, 18 Dec 2023 - 14min - 1070 - Special Edition: The best outrageous prediction for 2024 by our clients
In this episode we discuss what we have chosen to be the best outrageous prediction for 2024 sent to us by our clients at Saxo. The outrageous prediction is simply that government abandons the GDP measure as the yardstick for progress and how to steer the economy. Given that rising GDP has been the key policy objective by developed countries since the Great Depression this would truly be an outrageous prediction. We discuss this outrageous idea and the problems with GDP in a greater macroeconomic context, with Peter Garnry and Steen Jakobsen. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Thu, 14 Dec 2023 - 19min - 1069 - Fixed-income: Where are we now, surprises in 2023, and what to expect in 2024
This is likely the last podcast on fixed income this year so we take a look at the current situation with rate decisions this week from the Fed, ECB and BoE. We also go through the key events and performances across bonds in 2023 with high yield bonds and the Austrian 100-year bond being some of the biggest surprises. Finally, we talk about what to expect in bonds next year as the market has fixed its expectations on lower inflation and lower policy rates, with Peter Garnry and Althea Spinozzi. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Tue, 12 Dec 2023 - 19min - 1068 - Macro and FX: Will central banks, inflation, and PMIs deliver fireworks?
This week is crucial for markets given the big moves last week across gold and JPY with Nonfarm Payrolls on Friday supporting the soft landing narrative. Tomorrow, the US inflation report will set the stage for the FOMC rate decision on Wednesday and the key focus is still on services inflation. On Thursday, ECB and BoE will deliver rate decisions and Friday will end the week with key PMI figures across the Eurozone, UK and the US. Central banks will not keep rates so the market will focus on the details in the communication and it feels that markets are sensitive to changes in the narrative around monetary policy and inflation so this week could become more volatile than expected, with Charu Chanana and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Mon, 11 Dec 2023 - 16min - 1067 - Equities: YTD performance, rate cuts pricing, and Adobe earnings
Today we discuss equity market performance across country indices and thematic baskets highlighting Nasdaq 100 as the big winner together with semiconductors and cyber security. We also talk about the equal weighted performance between US and European equities which has not been that bad after all for Europe. We also discuss the current policy rate cuts priced in markets and how for now they are viewed as a positive thing but that it could quickly change. Finally, we flag upcoming earnings releases the next week from Lululemon, Oracle, and Adobe, with Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 06 Dec 2023 - 16min - 1066 - Special Edition: Saxo’s Outrageous Predictions 2024
Link to our publication -> Outrageous Predictions 2024: The end of the road It is the time of year when Saxo releases its Outrageous Predictions. For 2024 our Outrageous Predictions are titled The end of the road building on the idea, that the world is set for a very different journey than the calm environment post the pandemic with little geopolitical risks, stable technology backdrop, low inflation, and low interest rates. Three our outrageous predictions are 1) With oil at $150, Saudis buy the Champion League franchise, 2) generative AI deepfake triggers a national security crisis, and 3) Robert F. Kennedy Jr wins the 2024 US presidential election. In the podcast, we discuss all of our outrageous predictions, with Peter Garnry and Althea Spinozzi. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Tue, 05 Dec 2023 - 30min - 1065 - Macro and FX: Key macro data this week, the USD slide ended and gold is on the move
Last week's backdrop was shaped by Fed Waller's comments about rate hikes had ended and the market got into overdrive mode on those comments and soft inflation figures repricing bond yields lower across the curve. This week will be interesting with key macro figures across JOTLS job opening ISM Services tomorrow and Nonfarm Payrolls on Friday. The USD also finally turned around last week and gold spot was also reacting forcefully to the lower bond yields. Finally, with RBA rate decision coming up in Asia session tonight, with Charu Chanana and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Mon, 04 Dec 2023 - 16min - 1064 - Commodities: Mixed performance as peak rates gather momentum
Oil markets await the upcoming OPEC decision with the expectation to another production cut to bolster favourable conditions for oil markets. We also discuss the diverging performance across many commodities in November including coffee up 8% and US natural gas down 25% as the peak rate narrative sets in, with Ole S Hansen and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and the SaxoStrats here. Click here to open an account with Saxo
Thu, 30 Nov 2023 - 15min - 1063 - Equities: Dangerous index concentration, cyber security stocks, and the wisdom of Charlie Munger
Today we reflect on the meteoric rise in the index weights of mega caps as a function of the generative AI hype this year pushing S&P 500 index concentration to the highest recorded since 1991. The cyber security is a super interesting industry for many reasons that we go through in addition to our reflections on CrowdStrike earnings. Finally, we discuss the wisdom of the now late Charlie Munger and the influence he had on Warren Buffett and some of his key opinions on investing and why he did not like the accounting metric EBITDA , with Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 29 Nov 2023 - 19min - 1062 - Fixed-income: Biggest rally in US 10-year Treasuries since August 2011
Today we talk about government bond markets and whether market expectations are getting a bit ahead of themselves. Especially, the rally in UK Gilts market could be unsustainable given the underlying inflation and likely more fiscal stimulus next year. We also discuss yesterday's conflicting messages around ECB policy and the upcoming Eurozone CPIP report on Thursday. Finally, we discuss the US Treasury market that has rallied the most since August 2011 with the 10-year yield declining 60 bps, but the bigger question is whether the rally is sustainable, with Peter Garnry and Althea Spinozzi. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Tue, 28 Nov 2023 - 13min - 1061 - Macro and FX: Inflation week, PMI test in China, and USDJPY
After last week's quiet backdrop due to the US Thanksgiving holiday this week will drum up more energy with important inflation reports from the US, Eurozone, and Australia which will be important for the direction of the USD that have found itself increasingly in negative momentum. China has had so many false starts this year and this week we will get another PMI report that will show whether the recent stimulus actions by the Chinese government is moving economic activity. Finally, we talk about the USDJPY which seems to have reached a top and this narrative could be bolstered on a weaker than expected USD inflation report, with Charu Chanana and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Mon, 27 Nov 2023 - 15min - 1060 - Commodities: Will Santa deliver another golden gift?
Today we talk about the possibility of another Santa rally in gold and silver. The previous six years have had a strong December in those two precious metals - is the setup right again this year? The oil market is nervous with a tricky supply and demand situation with traders awaiting OPEC's next move. For all the weakness in China, Copper is still holding up pretty well and the recent moves from the Chinese government to support real estate developers and the economy could turn things around for copper. In addition, Chinese inventory of copper is at a rock-bottom low, with Ole S Hansen and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and the SaxoStrats here. Click here to open an account with Saxo
Thu, 23 Nov 2023 - 16min - 1059 - Equities: Nvidia growth bonanza, earnings estimates, and the surge in nuclear power theme
We discuss four topics today. Nvidia's earnings were incredible strong blasting estimates but US export controls are upsetting and lowering the visibility of its Chinese business. The US economy is still expanding but slowing down while earnings estimates are coming down in Europe and S&P 500 (ex. technology sector) which are at odds with a rallying equity market. Across equity themes the green transformation baskets are still under pressure while nuclear power and commodities are doing well. Finally, we talk about batteries with both Chinese based CATL and Swedish based Northvolt expecting to list next year, with Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 22 Nov 2023 - 12min - 1058 - Fixed-income: What is fiscal dominance and why is it important?
Today's episode is about a concept called fiscal dominance which is when the fiscal policies begin to dominate the monetary policy. Under conditions of high debt levels and rising interest rates it can create a negative feedback loop in inflation and interest rates potentially leading to sustained negative real rates and fiscal repression. We also talk about yesterday's 20-year Treasury auction and how the market response might indicate that the market is pricing in a slightly more hawkish Fed, with Peter Garnry and Althea Spinozzi. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Tue, 21 Nov 2023 - 20min - 1057 - Macro and FX: Fed pivot hopes as USD continues to slide
The USD continues to weaken with the market betting on a Fed pivot as inflation cooled more than expected last week and more indicators are suggesting the US economy is slowing down. We also cover FOMC Minutes, initial jobless claims, and Black Friday. In Europe, this week is going to be a key test of the turnaround narrative with fresh PMI figures and IFO survey, while we also keeping an eye on UK budget and Riksbank. Finally, in Asia FX traders should have a focus on RBA Minutes and the stabilisation/strengthening of the Chinese Yuan, with Charu Chanana and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Mon, 20 Nov 2023 - 17min - 1056 - Commodities: Silver comeback, watch OPEC as crude oil slides lower
In today’s commodities focused podcast we explain what has driven the sudden comeback for semi industrial metals, such as silver and platinum. The current negative momentum in crude oil carrying the risk of an overshoot to the downside ahead of the November 26 OPEC meeting. Finally a look at realized gross roll yields in commodities, which sectors are contributing the most and how returns compare with recent history. With Ole S Hansen and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and the SaxoStrats here. Click here to open an account with Saxo
Thu, 16 Nov 2023 - 16min - 1055 - Equities: Year-end rally, inflation, thematic winners, US consumer and Nvidia monster earnings
Today we discuss yesterday's small positive surprise on US October inflation that sent bond and equities soaring with Nasdaq 100 on a trajectory to set a new closing high for the year. We also go through which equity themes responded the most positive to lower interest rates, and also the recent reading on the US consumer based on earnings results from Target and Home Depot. Finally, we go over recent earnings and the most important earnings to watch over the next week including the important Nvidia earnings next Tuesday, with Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 15 Nov 2023 - 16min - 1054 - Options: How to take advantage of options
Today we discuss options and how investors and traders can use them. We go through an example on getting long exposure to Novo Nordisk, alternative entry strategies selling in-the-money puts, creating recurring income from selling covered call options on stocks in the portfolio, zero-days-to-expiry (0DTE) options, and finally how maybe not to use options around earnings releases, with Koen Hoorelbeke and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 15 Nov 2023 - 20min - 1053 - Fixed-income: Inflation expectations, views on yields, and Moody’s US rating outlook
While today's US inflation report will move markets and be important the longer term importance will come from inflation expectations which are all on the rise. In today's podcast we also talk about our views on bond yields given the market's pricing of the Fed Funds Rate a couple of years out and why we still like the barbell strategy. Finally, we discuss Moody's change of the US rating outlook from stable to negative over the weekend and why it matters for credit bonds from Microsoft and Johnson & Johnson , with Peter Garnry and Althea Spinozzi. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Tue, 14 Nov 2023 - 17min - 1052 - Commodities: Crude oil capitulation, the floor in gold, and roaring softs
In today's episode we discuss the recent plunge in crude oil which is definitely not part of the OPEC+ plan, the correction in gold following a strong period for equities, and finally we talk about the roaring prices in soft commodities due to extreme weather patterns, with Peter Garnry and Ole S Hansen. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Thu, 09 Nov 2023 - 16min - 1051 - Equities: EVs and oil demand, Recession or not, Adyen Investor Day
Today we discuss 1) battery electric vehicles deliveries in Q3 and how it relates to Brent crude being down 18% from its recent peak, 2) is a recession finally coming after great delay? and 3) the Adyen Investor Day tonight European time as an important event for the payments industry, with Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 08 Nov 2023 - 17min - 1050 - Fixed-income: The present opportunities in corporate bonds
In today's episode we talk about corporate bonds in USD and EUR taking a look at the historically high bond yields and investment grade vs high-yield spread. We also take a look at performance across the different corporate bond segments and zoom in on some individual names such as Leonardo and 3M, with Peter Garnry and Althea Spinozzi. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Tue, 07 Nov 2023 - 18min - 1049 - Macro and FX: Weaker USD, China data, and RBA rate decision
In today's podcast we discuss the weaker USD on the back of the big risk-on move across markets last week, and whether the lower long-end US bond yields in fact cancel out a bit of Powell's remarks last week. We also discuss Bank of Japan and JPY, China data this week and the lack of growth revive, and finally tomorrow RBA rate decision, with Charu Chanana and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Mon, 06 Nov 2023 - 17min - 1048 - Commodities: Special edition with WisdomTree
In this week's extended commodity focused podcast we welcome Nitesh Shah, head of commodities research at WisdomTree, Europe's largest commodity ETP provider. First we discuss the pros and cons of investing in commodity ETPs vs companies, and what to be aware of. We move on to having a broad discussion about the outlook for key commodities. Nitesh gives his view on China and why he is cautiously optimistic about the demand outlook. Also the green arms race and its impact on transition metals and how investors gain exposure to these green metals, with Nitesh Shah and Ole S Hansen. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Fri, 03 Nov 2023 - 43min - 1047 - Equities: Key earnings, green transformation meltdown, and Q3 earnings status
Today we discuss three things. Earnings expected tomorrow from Apple, Novo Nordisk, and Fortinet. The green transformation meltdown that just continues every month with Orsted as the key example today down 16%. Finally, we discuss the earnings season and the surprises from US technology and European companies, with Oskar Bernhardtsen and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 01 Nov 2023 - 17min - 1046 - Fixed-income: A barbell strategy and three central banks
Today we talk about the three major central bank rate decisions this week (BoJ, Fed, and BoE) and how the bond market is pricing policy rate trajectory long-term in the US and Europe. we also explain the barbell strategy as one way to approach the bond market these days, with Peter Garnry and Althea Spinozzi. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Tue, 31 Oct 2023 - 17min - 1045 - Macro and FX: Will BoJ allow government bond yields to rise further?
It is a big week for central banks with rate decisions from Bank of Japan, the Fed, and Bank of England. In all cases, the central banks are expected make no changes to their policy rate, but Bank of Japan might tweak their yield-curve-control allowing the Japanese government bond yields to rise above 1%; the ceiling on Japanese bond yields was raised back in July by 0.5%-points. We also talk about the UK economy where inflation is still running hot, Eurozone inflation figures, and lastly the Nonfarm Payrolls on Friday, with Charu Chanana and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Mon, 30 Oct 2023 - 17min - 1044 - Commodities: Gold defies rising bond yields, but why?
Today we talk about rising gold prices despite rising yields in a move that smells of investors seeking hedging for a financial system in which something could soon break due to rising bond yields. We also talk about the oil market and how it is perceiving supply disruptions amid the escalating war between Hamas and Israel. Finally, we touch on the strong gains in soft commodities such as orange juice, cocoa touching a 44-year high, and sugar touching a 12-year high, with Peter Garnry and Ole S Hansen. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Thu, 26 Oct 2023 - 15min - 1043 - Equities: Q3 earnings, China restart, and the robust economy
Today we discuss the Q3 earnings season and in particularly earnings yesterday from Microsoft and Alphabet (Google) with Microsoft being the big winner according to investors as the cloud business grew faster than estimated at 24% y/y while Google's cloud business disappointed. On a positive note, advertising revenue growth from both Google and Snap suggest that companies remain positive on their outlook for the economy. In China, Xi Jinping visited the PBoC for the first during his leadership and new economic aid measures are being launched, but the market is still not buying the turnaround case on China. Finally, we talk about the recent economic figures confirming a robust US economy and early signs that Europe's economy might be turning around, with Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 25 Oct 2023 - 15min - 1042 - Fixed-income: ECB pause, Treasury auctions, and yield curve positioning
The ECB is expected to maintain its policy rate on Thursday but the room for maneuver is tight for the ECB with the European economy in contraction and inflation remaining stubbornly high. Add to this rising US bond yields, potential tweak to BoJ yield-curve-control and rising geopolitical tensions in the Middle East. While the ECB is in pause mode it it not a pleasant one. We also discuss this week's Treasury auctions for clues about positioning of bond investors on the yield curve and with recent weak Treasury auctions this week's auction could prove important. Finally, we discuss the different options investors have on the US yield curve depending on portfolio objectives, with Peter Garnry and Althea Spinozzi. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Tue, 24 Oct 2023 - 18min - 1041 - Macro and FX: USD strength to get tested
The US economy has been the big positive this year defying every forecast but can this exceptional run in the US economy continue? We discuss that and also what this week's US GDP and PCE reports could mean for the USD. In today's podcast we also discuss carry trades in CHF and MXN, and the upcoming ECB rate decision on Thursday which is expected to be a non-event. UK jobs report is out tomorrow ahead of next week's BoE meeting. Finally, we talk about the Australian economy and the upcoming inflation report and how it could move the AUD, with Charu Chanana and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Mon, 23 Oct 2023 - 17min - 1040 - Commodities: Gold likes peak rates and is the oil market running out of steam?
Falling bond yields the past week and the market positioning itself for 'peak rates' have seen gold bid. We discuss the different aspect of why gold could extend its momentum and what to look out for. The terrible developments in the Middle East have also pushed the oil market into a more volatile situation but still limited upside from here due to spare production capacity. In natural gas we of course discuss the latest developments including the leak on the Baltic natural gas pipeline, and finally we discuss crops from soybean and wheat that are seeing weak prices due to stronger production from major suppliers, with Peter Garnry and Ole S Hansen. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Thu, 12 Oct 2023 - 18min - 1039 - Equities: Is the mojo back? Novo Nordisk keeps surprising and Tesla earnings showdown
A lot of action has come back in equities with the latest move lower in the US 10-year yield following geopolitical events in the Middle East pushing equities higher again. We also debate the 'higher for longer' narrative and whether the backdrop for equities is actually okay given the US economic strength. We also talk about Novo Nordisk that again has released another very positive trial data now related to kidney failure sending its shares higher while the world's largest dialysis provider Fresenius Medical Care has seen its share tumble as much as 24%. Finally, we go through the upcoming earnings on Friday from US banks such as JPMorgan Chase and next week's earnings from Tesla, ASML, Netflix, and American Express. Especially Tesla earnings will be important for sentiment in equities and the latest price cuts may be a warning of weakening demand for electric vehicles, with Peter Garnry and Oskar Bernhardtsen. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 11 Oct 2023 - 19min - 1038 - Fixed-income: The uptrend in bond yields remains, watch our for the BTP-Bund spread
The US bond market reaction to events in Israel over the weekend was delayed because of yesterday's closed US markets, but today bond trading has resumed and the initial reaction was lower bond yields. However, the longer end US bond yields have already come back higher again so the uptrend in bond yields remain intact. In today's episode we reiterate our call for staying in the short end of the yield curve or short-term high quality investment grade corporate bonds. Finally, we talk about the widening BTP-Bund spread and what it means for Italy and ECB rate policy, with Peter Garnry and Althea Spinozzi. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Tue, 10 Oct 2023 - 15min - 1037 - Macro and FX: Potentially a defining moment in the Middle East
We are coming into this new week after a horrible weekend with geopolitical risks rising after Hamas' attack on Israel. The initial market reaction has been equities lower (-0.6%), Brent crude higher (+3.3%), gold and USD spot are also bid. But the medium term outcome both across markets and geopolitics will come down to how Israel responses as the spotlight is pointing at Iran as a supporting actor in Hamas' planning. In any case, the weekend's attacks could be a defining moment for the Middle East region. Across equity themes we expect logistics, defence, and cyber security stocks to be bid. Today's podcast is not only about geopolitics and we do discuss the US Nonfarm Payrolls on Friday and the weak consumption figures coming out of China during the Golden week holiday, with Charu Chanana and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Mon, 09 Oct 2023 - 16min - 1036 - Equities: Mike Tyson moment, Birkenstock IPO, Q3 earnings in focus
We are back with another episode on equities and with US bond yields galloping higher equities are under pressure. We talk about ways investors can reduce risk and what sectors or themes make sense under the pressure from higher interest rates. Then we talk about the Birkenstock IPO scheduled for pricing on Tuesday and first day of trading on Wednesday. The valuation of Birkenstock has actually gone up since the roadshow started as investors are recognising the strong brand and the upside potential from direct-to-consumer. Finally, we talk about the first batch of Q3 earnings releases next week with a focus on PepsiCo, Delta Air Lines, and JPMorgan Chase, with Peter Garnry and Oskar Bernhardtsen. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 04 Oct 2023 - 18min - 1035 - Spiking US long yields a dangerous moment for markets
Today features Saxo CIO Steen Jakobsen as we quickly discuss the dynamics driving the spike higher in long US treasury yields (and yields around the world). This sharp rise in real yields at the long end of the curve to remarkable new highs is creating a significant danger moment for markets. Investors should move to protect their portfolios. Here is a chart deck supporting some key points from the podcast and more. The Saxo Q4 Quarterly Outlook.
Wed, 04 Oct 2023 - 12min - 1034 - Fixed-income: Keep it short if you think about bonds
We back with another episode of the Saxo Market Call following a few missed episodes. In today's episode we cover what is going on in fixed-income markets which are essentially driving everything in markets these days. We argue staying in short duration bonds across inflation-linkers, corporate quality and safe-haven due to uncertainty over timing of 'peak rates' and the outlook for a potential stagflation, with Peter Garnry and Althea Spinozzi. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Tue, 03 Oct 2023 - 16min - 1033 - Fixed-income: How much higher can bond yields go?
In today's episode covering fixed-income we aim to answer the crucial question of how much higher bond yields can go given the latest move higher in the US 10-year yield putting pressure on equities. If energy prices remain bullish and economic data continues to look solid then the US 10-year yield could reach the 5-5.25%. In the case of weakening economic data and lower inflation the narrative in bonds could quickly turn on its head. We also talk about timing and bond carry to understand the dynamics of investing in bonds. Finally, we provide some example of credit bonds for those investors seeking high bond yields with short maturity and high credit quality, with Peter Garnry and Althea Spinozzi. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Tue, 26 Sep 2023 - 16min - 1032 - Macro and FX: Can the higher for longer narrative continue?
Last week ended with both equities and bonds lower following the Fed's hawkish message with rates staying higher for longer to deal with inflation and the strong economy which lifted the longer end of the US yield curve. This week key event risks to monitor are the UAW wage negotiations, gasoline prices and more jitter around a potential US government shutdown. US consumer confidence figures tomorrow are also key to track and on Friday the market will get the latest PCE inflation data. Across the Atlantic in Europe, the market will get Eurozone lending survey on Wednesday and the latest inflation figures from Wednesday to Friday. Finally, we talk about China and how Saxo's clients in the APAC region have positioned themselves for a rebound in the Chinese economy through a net positive positioning in Hong Kong equities, with Charu Chanana and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Mon, 25 Sep 2023 - 18min - 1031 - Commodities: What does a Fed soft landing mean for commodities?
In today's podcast on commodities we discuss the FOMC rate decision and what the Fed's soft landing outlook means for commodities. We discuss everything from the opportunities in gold as a hedge against monetary policy mistakes, tightness in energy markets, downside pressure in copper due to rising copper inventories, and recent developments in the agriculture sector, with Peter Garnry and Ole S Hansen. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Thu, 21 Sep 2023 - 17min - 1030 - Equities: Red flags in IPOs, low volatility in US equities, and earnings to watch
With the market waiting for central bank rate decisions this week we take a step back and zoom in other parts of the equity market. We discuss the several red flags in the Instacart IPO and the extremely elevated forward valuation of Arm which is three times that of the Nasdaq 100. Realized volatility has lately been very low in the US equity market and investors might begin considering adding some hedges to their portfolio which can be done in different ways, and finally we discuss the three most important earnings releases next week from Micron Technology, H&M, and Nike, with Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 20 Sep 2023 - 15min - 1029 - Fixed-income: The US 10-year yield is on the loose
The US 10-year yield is breaking on a combination of improved economic activity in the US since May and recently a rally in oil lifting energy prices and inflation expectations. We talk about the upside and downside case on bonds, and finally we talk about interest rates in Europe and why higher bond yields in Europe are sending a different signal than in the US, with Peter Garnry and Oskar Bernhardtsen. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Tue, 19 Sep 2023 - 15min - 1028 - Macro and FX: Central banks bonanza this week
A big week ahead for financial markets with central bank decisions from the Fed, BoE, and BoJ with the market expecting no change from the Fed and BoJ, while BoE is expected to follow the ECB decision from last week hiking 25 bps. The economic landscape is getting increasingly difficult for central banks with the recent run-up in energy prices across both oil markets and uranium lifting inflation expectations and bond yields. In this podcast, we talk about the evolving economic landscape in the context of this week's major central bank decision. The key for investors will be the details in the forward-looking language and forecasts rather than the actual decision, with Charu Chanana and Peter Garnry. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Mon, 18 Sep 2023 - 17min - 1027 - Commodities: Oil rally raises stagflation risks and yuan’s correlation to copper
Brent crude is marching on as Saudi Arabia keeps the oil market tight raising the risks of stagflation in both Europe and the US. Will the current oil price curtail demand and will China begin tapping into its reserves? Copper has recently been supported by China's efforts to strengthen the yuan. We also talk about how copper is still structurally attractive giving the ongoing electrification, EV adoption and China stimulus. Finally, we go through the key movers in the Bloomberg Commodity Index, with Peter Garnry and Oskar Bernhardtsen. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Thu, 14 Sep 2023 - 17min - 1026 - Equities: Energy on the move, Europe’s ”EV war” with China, and FedEx earnings
Oil prices are moving higher on Saudi Arabia's oil production cuts. This is naturally adding tailwinds to energy stocks which are quickly catching up with the rest of the global equity market. We discuss energy stocks and their attractive valuations. The market for electric vehicles is being flooded with cheap Chinese EVs to a degree where the EU is now launching an investigation into Chinese subsidies for EVs lifting European carmakers and surpressing Chinese EV-makers. Finally, we talk about next week's earnings from FedEx will provide information on how the global economy and whether the outlook for global goods transportation is improving or not, with Peter Garnry and Oskar Bernhardtsen. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 13 Sep 2023 - 15min - 1025 - Fixed-income: A hawkish pause from ECB and attractive risk-reward in bonds
In today's podcast on fixed-income we preview the ECB rate decision on Thursday on the back of a recent stagflation outlook from the EU Commission making the policy decision a difficult one. We argue for a hawkish pause with the potential move by the ECB to stop reinvestments into the PEPP facility. Based on a slowing economy and stagflation light outlook we go through why both European and US sovereign bonds have an attractive risk-reward ratio, with Peter Garnry and Althea Spinozzi. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Tue, 12 Sep 2023 - 16min - 1024 - Macro and FX: King Dollar, pressures on China, and will ECB hike?
In today's podcast on macro and FX we discuss the ongoing strength of USD which is a function of relative weakness in Europe and China, and to what extent the US inflation report on Wednesday will impact the USD trade. China has been in focus a lot lately as its real estate sector is in a deep crisis, but last week a ban of Apple's iPhones brought geopolitics back into focus. We also discuss what China's next potential policy move is to offset the recent weakness and how we should think about the weekend's G20 meeting with China's Xi Jinping not showing up. Finally, we discuss Europe's economy, inflation outlook and the tough decision for ECB on Thursday given the slowing growth and stubborn inflation, with Peter Garnry and Charu Chanana. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Mon, 11 Sep 2023 - 18min - 1023 - Commodities: Crude’s artificial tightness, uranium and gold in focus
In today's podcast on commodities with discuss the recent rise in oil prices driven by an artificial tightness and what it means for the oil industry but also the economy. Our nuclear power equity theme basket was the performance winner August and today we discuss the underlying drivers for uranium and the nuclear power industry, and finally we touch on gold and silver on which we are patiently bullish given our stagflation call, with Peter Garnry and Ole S. Hansen. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Thu, 07 Sep 2023 - 17min - 1022 - Equities: EV ecosystem, Adobe earnings, and AI washing
In today's podcast on equities we talk about the growing electric vehicles ecosystem of recycling and charging, Adobe's earnings Thursday next week which will be important for sentiment on AI-related stocks, and finally we talk about next week's IPO of Arm and whether this is potentially "AI washing", with Peter Garnry and Oskar Bernhardtsen. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Wed, 06 Sep 2023 - 16min - 1021 - Fixed-income: Peak rates and the impacts
In today's fixed income focused podcast we take a closer look at recent developments, especially the emerging focus on peak rates and its potential impact on yields and short-term rates. Also what are corporate bonds telling us, and finally we explain how the COT report for fixed income futures works and what drives the current record speculative short positions w/ Peter Garnry and Ole S Hansen standing in for Althea Spinozzi Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Tue, 05 Sep 2023 - 16min - 1020 - Macro and FX: Could soft landing hopes slow down USD rally?
First episode in our new podcast format with Charu Chanana talking about macroeconomic topics and currencies. We talk about Friday's Nonfarm Payrolls figures underpinning the soft landing narrative ahead of potential stagflation concerns later this year. We also talk about the USD rally and whether it could end with strength going into the direction of CNH and JPY. Finally, we discuss the central meeting this week from RBA (tomorrow) and Bank of Canada (Wednesday) which have very different tasks at their hands. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo
Mon, 04 Sep 2023 - 15min - 1019 - Will US jobs report extend current momentum?
Link to slide deck: https://bit.ly/3L6i4WN - Markets are calm ahead of today's US August Nonfarm Payrolls report which is expected to show continuous job gains in the US economy. In today's podcast we discuss the positive week in global equities led by technology stocks, potential turnaround in the US fiscal impulse, galloping prices on rice and orange juice, and a stronger Chinese yuan as recent policy moves have strengthened the currency. Peter Garnry on equities and Ole S. Hansen on commodities. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo - Intro and outro music by AShamaluevMusic
Fri, 01 Sep 2023 - 18min - 1018 - ’Peak rates’ narrative continues to underpin momentum
Link to slide deck: https://bit.ly/3L3q2zG - Momentum in equities is extending as 'peak rates' narrative gets stronger amid weakening macro data suggesting that tighter monetary policies are beginning to have an impact on the economy. We expect the ECB to go into a hawkish pause mode on policy rates and this thinking has got the market to bid up EURUSD in recent trading days. Momentum in gold is also responding well in recent weeks to the 'peak narrative' and elsewhere in commodities cocoa futures are approaching their highest price since early 2011. We also touch on earnings from Salesforce and UBS. Peter Garnry on equities and Ole S. Hansen on commodities. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo - Intro and outro music by AShamaluevMusic
Thu, 31 Aug 2023 - 16min - 1017 - Bad news is good news, or so the market thinks
Link to slide deck: https://bit.ly/3L3UV7k - Bad news was good news yesterday as significantly weaker than estimated US August consumer confidence and July JOLTS jobs opening pushed the US 10-year yield lower lifting equities, and especially the cyclical sectors such as semiconductors and carmakers. In currencies, the AUD is seeing the strongest bid and in commodity markets crude oil is still supported by tight markets. Peter Garnry on equities and Ole S. Hansen on commodities. Read daily in-depth market updates from the Saxo Market Call and SaxoStrats Market Strategy Team here. Click here to open an account with Saxo - Intro and outro music by AShamaluevMusic
Wed, 30 Aug 2023 - 10min
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