Monthly Macro: Resilient Equities, Rising Yields, and a Shifting Playbook episode artwork

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.

Episode metadata supplied by the publisher feed · Published Jun 1, 2026

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Monthly Macro: Resilient Equities, Rising Yields, and a Shifting Playbook

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