Unpacking a Volatile Week Amid Inflation Warnings and Surprising Strengths
January 30, 2025
Markets gyrated last week as hotter-than-expected US inflation data sparked an initial tech rout before recovering. Meanwhile better-than-feared earnings results and recession-resilient emerging markets outperformed.
Amid a mixed bag of US corporate earnings and a strong jobs report fueling rate hike expectations, global markets face contrasting fortunes, highlighting the complexity of forecasting economic trends in a time of technological growth and geopolitical uncertainty.
Last week saw a notable upswing in global equities, driven by optimism over a potential economic stimulus in China and dubious results in corporate earnings.
Markets Retreat on Fading Rate Cut Hopes Before Late Rally
January 30, 2025
Risk assets broadly declined last week as economic data showed resilience and central banks pushed back against aggressive market pricing for rate cuts, puncturing investor hopes.
A Shifting Landscape: Navigating the End of U.S. Exceptionalism and Global Credit Booms
January 30, 2025
Economist Andrew Hunt joins Director Jonathan Ramsay to assess the risks and opportunities that may arise from these changing dynamics—and what investors should be watching in the months ahead.