EPISODE · May 16, 2024 · 35 MIN
82. Explained: US & UK elections' historical impact on markets
from The Long-Short
New research into the past 100 years’ worth of elections in the US and UK has revealed how equity, fixed income, and commodity markets may react when people head to the polls later this year. In this episode, Tom Kehoe and Drew Nicol sit down with Henry Neville, portfolio manager at Man Group and regular guest on The Long-Short podcast. Together, they explore how this year's possible election outcomes may influence financial markets and impact investors. Hosted on Acast. See acast.com/privacy for more information.
Embed this episode
NOW PLAYING
82. Explained: US & UK elections' historical impact on markets
No transcript for this episode yet
Similar Episodes
No similar episodes found.
Similar Podcasts
No similar podcasts found.