EPISODE · Dec 13, 2012 · 12 MIN
Key Macroeconomic Risks and Portfolio Management Implications
In episode #181, Campbell Harvey discusses the limitations of quantitative easing in today's macroeconomic environment. His analysis has implications for the role of commodities, specifically gold, in a diversified portfolio.
NOW PLAYING
Key Macroeconomic Risks and Portfolio Management Implications
No transcript for this episode yet
Similar Episodes
Apr 10, 2026 ·42m
Apr 6, 2026 ·25m
Mar 30, 2026 ·27m
Mar 28, 2026 ·31m
Mar 13, 2026 ·30m