EPISODE · Jun 27, 2022
Markets Weekly podcast (27 June 2022): What does increased recession risk mean for equity markets?
from Barclays Private Bank Podcasts
Tune in as Dorothée Deck, our Cross Asset Strategist, takes an in-depth look at global equity markets amid aggressive sell-offs and a challenging macroeconomic environment. She’s joined by Henk Potts, our Market Strategist, who turns his attention to the risk of recession in the major regions, UK inflation, and eurozone PMI.
NOW PLAYING
Markets Weekly podcast (27 June 2022): What does increased recession risk mean for equity markets?
No transcript for this episode yet
Similar Episodes
Jun 15, 2022 ·8m
May 25, 2022 ·20m
May 19, 2022 ·16m
May 15, 2022 ·34m
May 12, 2022 ·1m