EPISODE · Jun 1, 2026 · 22 MIN
Monthly Macro: Resilient Equities, Rising Yields, and a Shifting Playbook
from The William Blair Thinking Podcast
As geopolitical tensions persist and inflation concerns resurface, equity markets remain resilient while bond markets signal a more cautious outlook. Richard de Chazal unpacks what’s driving this divergence, the durability of the U.S. consumer, and why quality may be coming back into focus.
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Monthly Macro: Resilient Equities, Rising Yields, and a Shifting Playbook
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