474 Episodes

  1. Global Commodities: A Cry for Shale: Outlook for US oil and natural gas production

    Published: 04/02/2022
  2. EM Fixed Income: The curious case of sovereign credit underperformance versus local markets

    Published: 03/02/2022
  3. Global Commodities: Russia’s influence on the commodities complex

    Published: 28/01/2022
  4. EM Fixed Income: Don’t get carried away in EM FX

    Published: 27/01/2022
  5. US Rates: What we learned from the January FOMC meeting

    Published: 27/01/2022
  6. US Rates: Which way is up for the Fed?

    Published: 14/01/2022
  7. Securitized Products: Charging for Chalets – FHFA Boosts LLPAs

    Published: 12/01/2022
  8. US Rates: Tales of the taper

    Published: 16/12/2021
  9. Securitized Products: Home Price, Commercial Real Estate and Mortgage Rate 2022 Outlook

    Published: 08/12/2021
  10. US Rates: Outlook for Corporate Bonds in 2022

    Published: 01/12/2021
  11. At Any Rate: Thoughts on US & European Interest Rates for 2022

    Published: 30/11/2021
  12. At Any Rate: Known unknowns

    Published: 05/11/2021
  13. At Any Rate: How soon is now

    Published: 23/09/2021
  14. At Any Rate: More than meets the eye

    Published: 13/09/2021
  15. Any Future for Bonds in 60/40?

    Published: 03/08/2021
  16. U.S. Fixed Income: The outlook for rates in 2H21

    Published: 30/06/2021
  17. U.S. Fixed Income: Demographic Duration Demand in the Long End

    Published: 22/04/2021
  18. ESG Investing: The Future of Green Hydrogen

    Published: 01/04/2021
  19. The Policy Momentum for ESG Acceleration in 2021

    Published: 17/03/2021
  20. Still Waiting on SLR: The Impact on Banks, Spreads, and Rates

    Published: 16/03/2021

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Analysts from J.P. Morgan’s Research team take a closer look at the stories behind some of the biggest trends, themes and developments in markets today.

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