LiveSquawk Market Talk
Episodes
Ceasefire or Not, These Markets Have a Problem
09 May 2026
Contributed by Lukas
Beat Nussbaumer joins Harry to examine why investor exhaustion may be the defining market theme right now, with a UK cabinet reshuffle risk hanging ov...
Hold Steady: When Geopolitics Forces Central Banks Into an Impossible Corner
30 Apr 2026
Contributed by Lukas
With the U.S. election cycle heating up and civil unrest a growing tail risk, global markets face a political wildcard on top of an already fragile ma...
Oil Shock: UAE Exits OPEC as Hormuz Crisis Rewrites Energy Markets
29 Apr 2026
Contributed by Lukas
The UAE has left OPEC — but that may be the least of oil markets' problems. Rory Johnston breaks down why the Strait of Hormuz closure could be ...
Rate Hold or Regime Change? The FOMC Decision That Could Reshape Markets
29 Apr 2026
Contributed by Lukas
An energy crisis, geopolitical flashpoints, and a labor market that defies easy reading — this FOMC meeting has more landmines than any in recent me...
Beyond the Iran Shock: Why Q1 Earnings Still Have Bulls Talking
22 Apr 2026
Contributed by Lukas
Q1 earnings are rolling in and despite Iran-U.S. tensions rattling sentiment, banks and tech are delivering — but how long can the resilience last? ...
From Fear Factor to Relief Rally: Hormuz, Stocks, and Central Bank Risk
20 Apr 2026
Contributed by Lukas
Markets have learned to shrug off macro shocks faster than ever — so what happens when the shock actually resolves? Jamie Dutta and Mike Zaccardi ex...
Ceasefire Relief, Lingering Risk: Markets Caught Between Calm and Uncertainty
14 Apr 2026
Contributed by Lukas
Ryan Littlestone and Michael Brown join LiveSquawk’s Market Talk to break down the market reaction to a fragile Middle East ceasefire and the result...
Narratives vs Reality: Markets Between Headlines and Macro Signals
03 Apr 2026
Contributed by Lukas
Kevin Muir, author of The Macro Tourist newsletter, joins LiveSquawk’s Market Talk to unpack the growing disconnect between short-term headlines and...
Crisis Under the Surface: Markets Face Stagflation and Hidden Credit Risks
27 Mar 2026
Contributed by Lukas
Beat Nussbaumer joins the show to analyze a volatile global landscape shaped by escalating US-Iran tensions and the risk of disruption in the Strait o...
Oil, Ultimatums & Fed Missteps: Markets React to Iran Tensions
24 Mar 2026
Contributed by Lukas
Sam Cutler and Michael Green join Harry on LiveSquawk’s Market Talk to analyze how escalating US-Iran tensions are driving volatility across global ...
Hawkish Holds and a War Nobody's Priced In
23 Mar 2026
Contributed by Lukas
Vincent Deluard joins Harry on LiveSquawk's Market Talk to break down a pivotal week for global markets as the US-Israel-Iran conflict reshapes th...
Wait-and-See Mode: ECB and BoE Pause as Crisis Clouds the Outlook
23 Mar 2026
Contributed by Lukas
Eric Culp and Jamie Dutta join LiveSquawk’s Market Talk to preview upcoming rate decisions from the Bank of England and the European Central Bank. A...
Hawkish Holds and a War Nobody's Priced In
21 Mar 2026
Contributed by Lukas
Vincent Deluard joins Harry on LiveSquawk's Market Talk to break down a pivotal week for global markets as the US-Israel-Iran conflict reshapes th...
Oil Shock & Fed Gridlock: Inside March’s High-Stakes FOMC Call
18 Mar 2026
Contributed by Lukas
Joseph Choi and David Rosenberg join LiveSquawk’s Market Talk to preview the March 2026 FOMC decision against a backdrop of surging oil prices and r...
Oil Surges, Policy on Edge: Markets Grapple with Middle East Conflict
13 Mar 2026
Contributed by Lukas
Ryan Littlestone and Michael Brown join LiveSquawk’s Market Talk to dissect the global market impact of ongoing Middle East tensions. The discussion...
Middle East Tensions & Market Shocks: Oil, Jobs, and Rate Risks
06 Mar 2026
Contributed by Lukas
Mike Zaccardi joins Harry on LiveSquawk’s Market Talk to assess the early-March 2026 global economic landscape. The discussion focuses on escalating...
Tariffs Return, Tensions Rise: Markets Weigh Trade Shocks and Middle East Risk
27 Feb 2026
Contributed by Lukas
Beat Nussbaumer and Jamie Dutta join LiveSquawk’s Market Talk to explore how renewed trade tensions and escalating geopolitical risks are shaping gl...
Holding Pattern: Sticky Inflation, Tariff Turmoil & Markets on Alert
23 Feb 2026
Contributed by Lukas
Ryan Littlestone joins Harry on LiveSquawk’s Market Talk to assess the late-February 2026 macro landscape. The discussion examines the Federal Reser...
Earnings Rebound & AI Bets: Corporate Profits in a Divided Market
13 Feb 2026
Contributed by Lukas
Christine Short joins Harry on LiveSquawk’s Market Talk to review the latest trends in corporate earnings. They discuss a recent uptick in profitabi...
Earnings Rebound & AI Bets: Corporate Profits in a Divided Market
11 Feb 2026
Contributed by Lukas
Christine Short joins Harry on LiveSquawk’s Market Talk to review the latest trends in corporate earnings. They discuss a recent uptick in profitabi...
UK Politics Shake the Pound: Dovish Signals and Data Delays Stir Markets
06 Feb 2026
Contributed by Lukas
Ryan Littlestone and Michael Brown join LiveSquawk’s Market Talk to assess the shifting economic and political landscape in early 2026. They break d...
Politics Over Policy: Why Markets Are Ignoring the ECB and BoE
06 Feb 2026
Contributed by Lukas
Eric Culp and Beat Nussbaumer join LiveSquawk’s Market Talk to preview upcoming rate decisions from the Bank of England and the European Central Ban...
A Subtle Fed Shift: Language Changes, Leadership Speculation & Global Ripples
02 Feb 2026
Contributed by Lukas
Jamie Dutta joins Harry on LiveSquawk’s Market Talk to analyze the Fed’s latest rate decision and why small changes in policy language signaled a ...
Fed on Hold, Markets on Edge: Inside January’s FOMC Balancing Act
29 Jan 2026
Contributed by Lukas
Joseph Choi and Sam Cutler join LiveSquawk’s Market Talk to preview the January 2026 FOMC meeting and the challenges facing policymakers. The discus...
Greenland Gambits & Hawkish Turns: Markets React to a Shifting Global Order
26 Jan 2026
Contributed by Lukas
Ryan Littlestone and Michael Brown join LiveSquawk’s Market Talk to unpack the latest global market developments as January draws to a close. The di...
Markets in Limbo: Politics, Policy Drift & the Search for Safe Havens
19 Jan 2026
Contributed by Lukas
Beat Nussbaumer joins Harry on LiveSquawk’s Market Talk to assess a market environment defined more by uncertainty than conviction. The discussion c...
Tariffs, Troops & Teflon Markets: Why 2026 Resilience Is Being Tested
12 Jan 2026
Contributed by Lukas
Mike Zaccardi and Sam Cutler join Harry on LiveSquawk’s Market Talk to unpack the latest U.S. labor data, showing a cooling yet stable jobs market f...
Central Banks Hit the Brakes: Yen Shock, Data Doubts & 2026 Risk Signals
29 Dec 2025
Contributed by Lukas
Ryan Littlestone of Forex Analytix and Michael Brown, market analyst at Pepperstone UK, join LiveSquawk’s Market Talk to review the major global mar...
Year-End Central Bank Crossroads: Europe Holds, Japan Moves
19 Dec 2025
Contributed by Lukas
Guenter Grimm and Eric Culp join LiveSquawk’s Market Talk to break down the year-end outlook for global central banks. The discussion covers the ECB...
The Yen Trade Endgame: Global Markets Face a Structural Shift
15 Dec 2025
Contributed by Lukas
Beat Nussbaumer and Guenter Grimm join LiveSquawk’s Market Talk Weekly Review to assess the latest global macro developments. The discussion covers ...
The Hawkish Cut Dilemma: Fed Politics, Projections & Credibility on Trial
11 Dec 2025
Contributed by Lukas
Guests Joseph Choi and Sam Cutler join Harry on LiveSquawk’s Market Talk to preview the upcoming FOMC interest rate decision. They discuss the antic...
Budget Gambles & Data Vacuums: Markets Navigate a Foggy Macro Landscape
11 Dec 2025
Contributed by Lukas
Ryan Littlestone (Forex Analytix) and Michael Brown (Pepperstone) join LiveSquawk’s Market Talk to discuss the latest financial market developments....
Stale Signals, Real Risks: What the Fed Reads Between the Lines
11 Dec 2025
Contributed by Lukas
Guest Sam Cutler joins Harry on LiveSquawk’s Market Talk Weekly Review to break down the latest economic data and its impact on central bank policy....
Data Delays & Tech Whiplash: Markets Brace for a Chaotic Week
11 Dec 2025
Contributed by Lukas
Jamie Dutta joins LiveSquawk’s Market Talk to analyze the latest market-moving developments. They cover the impact of delayed US non-farm payroll da...
Rate Path Reckoning: Global Central Banks Signal New Era
03 Nov 2025
Contributed by Lukas
Guests Stelios Kontogoulas (Forex Analytix) and Ryan Littlestone break down recent central bank moves, including the FOMC, BoJ, BoC, and ECB decisions...
ECB October Hold: Why Europe Became the Calm in Global Storm
31 Oct 2025
Contributed by Lukas
European editor Eric Culp and FX macro trader Beat Nussbaumer explain why the ECB's October 30 decision could be the most important non-event of t...
The Week That Could Break Markets: Three Central Banks Decide
27 Oct 2025
Contributed by Lukas
Three major central bank decisions in one week rarely happen by coincidence, and the market implications could be massive. Get Sam Cutler's unfilt...
Liquidity Crunch: Regional Banks Signal Deeper Credit Stress
23 Oct 2025
Contributed by Lukas
Early bank earnings reveal that regional lenders are taking decent credit losses as auto and credit card delinquencies spike again, with Chris discuss...
Q3 Earnings: Jamie Dimon's Warning vs AI's $1 Trillion Promise
19 Oct 2025
Contributed by Lukas
JPMorgan's CEO warns of a 30% recession probability while his own bank crushes estimates and tech earnings surge past 20%. With the government shu...
France: The New Sick Man of Europe Shakes Markets
13 Oct 2025
Contributed by Lukas
France has earned the brutal title of “the new sick man of Europe,” with five prime ministers in just over a year — matching Italy’s worst ins...
Data Blackout: How the U.S. Government Shutdown is Rewiring Markets
06 Oct 2025
Contributed by Lukas
With NFP missing and traders flying blind, markets are abandoning long-term narratives for profit-taking on Swiss Franc and Gold winners. Beat Nussbau...
Shutdown Showdown: How 69% Odds Could Derail Fed Policy
29 Sep 2025
Contributed by Lukas
Markets price a 69% chance of government shutdown disrupting fiscal support and delaying crucial NFP data. With the Fed caught between persistent 2.8%...
September Scaries Defeated: When Markets Defy Seasonality
22 Sep 2025
Contributed by Lukas
The S&P 500 is tracking toward its best September since 2010, defying one of the market's strongest seasonal patterns. When historical trends ...
Behind the Curve: Four Months of Hidden Payroll Weakness Exposed
18 Sep 2025
Contributed by Lukas
New QCEW data reveal payrolls were overstated by 911,000 jobs, and the revisions keep getting worse each month. Could the Fed be staring at four conse...
The Great Dissent: FOMC Split Could Shock Markets
15 Sep 2025
Contributed by Lukas
Market analysts warn of an unprecedented three-way FOMC split as committee members push for everything from 50bp cuts to no action at all. Michael and...
Global Fiscal Reckoning: Why Bond Yields Are Rising Everywhere
08 Sep 2025
Contributed by Lukas
Long-end yields are surging globally as markets judge the fiscal mess across the US, UK, Japan and Europe. Littlestone warns we still haven't paid the...
The Employment Pivot: Fed's New Priority Sparks Market Revolution
01 Sep 2025
Contributed by Lukas
The Fed's quiet revolution prioritizing employment over inflation has set the stage for a September rate cut, but political interference threatens...
Weekly Review: The Great Fed Flip
25 Aug 2025
Contributed by Lukas
Despite mounting evidence that inflation isn't going anywhere, the Fed just signaled September cuts - and Sam Cutler isn't buying it. From Walmart's r...
The Trader's Mind: Why Stress Kills Performance with Sylvain Asimus
11 Aug 2025
Contributed by Lukas
After 30 years in markets, veteran trader Sylvain Asimus reveals why the emotional roller coaster destroys more trading accounts than any technical in...
Trump's Tariff Win: Why 15% Feels Like Victory
05 Aug 2025
Contributed by Lukas
Guest Sam Cutler discusses why markets hit near record highs despite looming EU tariffs of 15-30% by August 7th, as Trump's negotiation tactics ma...
Fed's Wait-and-See Trap: Why Powell Won't Cut Despite Market Pressure
04 Aug 2025
Contributed by Lukas
With CPI data that could derail any September cut hopes and the specter of the transitory mistake still haunting the Fed, Powell faces an impossible b...
The 15% Question: How Trump's Trade Template Changes Everything
25 Jul 2025
Contributed by Lukas
Guest Guenter Grimm joins to discuss why the 15% tariff template from Japan could be the eurozone's best-case scenario, but what if Trump delivers...
Q2 Earnings Preview: Growth Slows to 5% as Banks Set Tone
16 Jul 2025
Contributed by Lukas
Christine Short reveals why Q2 S&P 500 earnings growth expectations dropped from 9% to 5%, marking the lowest in six quarters. Discover why banks ...
Weekly Review: Trump's Tariff Reaffirmation, Dollar Stall, and Market Indifference
15 Jul 2025
Contributed by Lukas
Beat Nussbaumer examines why Trump's new 35% Canadian tariff and August 1st deadline triggered "very muted" market reactions despite agg...
Weekly Review: Jobs Data Deception, Debt Ceiling Impact, and Market Vulnerability
08 Jul 2025
Contributed by Lukas
Sam Cutler reveals why May's employment beat is heavily distorted by government jobs with 73,000 government hires masking cyclical job weakness. L...
Commodity Corner: Inflation, Oil Bottoms, and Copper Hype
28 Jun 2025
Contributed by Lukas
Guest Chris Stadale warns about inflation complacency, challenges consensus on oil, and pushes back against copper fear-mongering in this week's c...
Weekly Review: US Strikes Iran, Central Bank Dovish Shift, and Oil Market Dynamics
24 Jun 2025
Contributed by Lukas
Sam Cutler analyzes the market impact of US strikes on Iranian nuclear facilities while examining the broader dovish shift across central banks. Learn...
Commodity Corner: Oil Trading, Overvalued Platinum, and Dollar Recovery
24 Jun 2025
Contributed by Lukas
Guest Chris Stadale discusses why he doesn't expect oil to spike to $150, why he believes platinum has quite overvalued and his contrarian view on...
FOMC: Rate Hold Expected as Labor Market Shows Troubling Signs
18 Jun 2025
Contributed by Lukas
Guests Joseph Choi and Mike Zaccardi examine why a rate cut is unlikely amid concerning job market data including continuing claims near 2021 levels. ...
Weekly Review: CPI Cooling, Tariff Lag Effects, and Central Bank Caution
16 Jun 2025
Contributed by Lukas
Guests Mike Brown and Ryan Littlestone analyze why oil jumped 8-9% and "everyone's gone running back to the dollar" amid Middle East ten...
Inflation Outlook: May CPI Expectations and 'Sell America' Theme
12 Jun 2025
Contributed by Lukas
Experts guests Jeffrey Hirsch and Beat Nussbaumer discuss their most defensive CPI positioning in months while examining why the dollar continues to s...
Weekly Review: Jobs Data Illusions and Trump-Musk Market Chaos
09 Jun 2025
Contributed by Lukas
Guest Sam Cutler joins Harry for weekly review and what to keep an eye on next week. While US payrolls beat at 140K, discover why "headline numbe...
Commodity Corner: Copper's Strange Behavior and Treasury Outlook
09 Jun 2025
Contributed by Lukas
Chris Stadele explains copper's "weird" market dynamics while providing new Treasury price projections as futures roll to a new prompt m...
ECB Preview: Rate Cut 'Baked in the Cake' Amid Trade Chaos
05 Jun 2025
Contributed by Lukas
Guest Guenter Grimm explains why Eurozone inflation falling to 1.9% "basically all but guarantees a cut today." Also discover why Trump'...
Commodity Corner: Bond Opportunity and Holiday Weekend Effects
21 May 2025
Contributed by Lukas
Chris Stadele shares why contrarian bond market positioning could be profitable despite widespread negativity following Moody's downgrade. Plus, d...
Commodity Corner: Are the Bears Hibernating? Tesla Rival's Mining Plans and Hidden Warnings
20 May 2025
Contributed by Lukas
Chris Stadele unpacks why BYD's potential Chilean mining investment may not be a good idea based on historical precedents. Plus, discover what'...
CPI Reaction: April's Inflation Ease May Be 2025's Low Point
14 May 2025
Contributed by Lukas
Guests Sam Cutler and Jamie Dutta break down why April's 2.3% headline CPI could be the year's low before tariffs push inflation back above 3%...
Commodity Corner: Crude Oil Analysis, Fed Uncertainty, and Geopolitical Risks
13 May 2025
Contributed by Lukas
Chris Stadele shares insights from energy analyst Doomberg on crude oil's trajectory while explaining his cautious stock market stance. Plus, lear...
Earnings Season Review: Strong Results Meet Tariff Uncertainty
13 May 2025
Contributed by Lukas
Christine Short reveals why S&P 500 companies delivered surprising 13% bottom-line growth despite mounting concerns. Learn why Big Tech's mass...
Fed Decision: Powell's Tone, Beige Book Warnings, and Long-Term Economic Risks
08 May 2025
Contributed by Lukas
Beyond the expected rate hold, our experts reveal why Powell's language may shift despite his previous hawkish stance. Learn about Joseph Choi'...
NFP Preview: Labor Market Slowdown and Recession Warning Signs
05 May 2025
Contributed by Lukas
From private sector layoffs jumping to 100K monthly to the worrying Conference Board sentiment drop, guests Sam Cutler and Gunter Grimm break down why...
Commodity Corner: Dollar Collapse Impact on Treasuries, Silver, and the Yen
28 Apr 2025
Contributed by Lukas
Chris Stadele breaks down why the US dollar has collapsed in recent weeks and its connection to treasury market volatility. Plus, get a bullish deep d...
Commodity Corner: Treasury Volatility, Gold Caution, and Tariff Impact
22 Apr 2025
Contributed by Lukas
Chris Stadele shares his contrarian gold outlook and why steel and nickel demand may remain subdued. Plus, why Powell's explicit "absolutely ...
ECB Rate Decision: Cut Now, Pause Later
22 Apr 2025
Contributed by Lukas
Despite consensus on a 25bp rate cut, questions remain about the ECB's forward guidance amid "known unknowns" in global trade. Ryan Litt...
Commodity Corner: Metals Analysis, Oil Targets, and Technical Indicators
14 Apr 2025
Contributed by Lukas
Chris Stadele breaks down how "crazy tariffs" are impacting copper and aluminum differently while providing fresh price targets for recently...
Market Earthquake: Trump's Tariff Reversal Overshadows CPI Data
11 Apr 2025
Contributed by Lukas
Guest Beat Nussbaumer analyzes the "biggest market event of the decade" that sent indices soaring 8-10% in unprecedented moves. Learn why Ma...
Earnings Preview: Strong Q1 Numbers Meet Murky Guidance
11 Apr 2025
Contributed by Lukas
Christine Short from Wall Street Horizon reveals why S&P 500 earnings may grow 7% despite a high number of negative guidance warnings. Learn why t...
Tariff Tsunami: Economic Impact and Trading Implications of "Liberation Day"
07 Apr 2025
Contributed by Lukas
Expert guests Sam Cutler and Joseph Choi analyze why markets initially rallied on misleading headlines before the true scope of the tariffs became cle...
Commodity Corner: Treasury Markets, Metals Rally, and Japan's Struggles
28 Mar 2025
Contributed by Lukas
Discover why traditional focus on Fed policy may be less relevant than broader market forces impacting treasuries. Chris Stadele shares cautionary ana...
Fed Focus: Economic Projections, Trump's Policies, and Recession Odds
20 Mar 2025
Contributed by Lukas
Discover what the Fed's revised economic projections reveal about inflation concerns despite unchanged rates. Plus, why fiscal constraints could p...
Commodity Corner: Bitcoin, Steel, and the Loonie
18 Mar 2025
Contributed by Lukas
Chris Stadale breaks down Bitcoin's muted response to White House crypto initiatives and potential tariff impacts on US indices. Plus, critical in...
CPI Preview: Market Volatility and the Bank of Canada's Next Move
18 Mar 2025
Contributed by Lukas
Sam Cutler of 333 Capital breaks down why this CPI report could trigger a reflexive market rally despite extreme volatility. Plus, why tariff uncertai...
Europe's New Economic Reality: Unpacking the ECB's Latest Rate Decision
07 Mar 2025
Contributed by Lukas
The ECB cuts rates while Germany embraces massive fiscal spending – our experts break down what this policy shift means for markets and why we may b...
Commodity Corner: From Lithium to Corn - This Week's Market Moves
03 Mar 2025
Contributed by Lukas
Commodity expert Chris Stadele breaks down the latest moves in lithium, platinum, crude oil, and corn, offering practical insights for traders navigat...
Commodity Corner: Why Tariffs Could Backfire
27 Feb 2025
Contributed by Lukas
In this week's Commodity Corner, Chris Stadele delivers a contrarian view on tariffs that every trader should hear, along with timely insights on ...
Mid-Season Earnings Check: Strong Beats, Hidden Concerns
18 Feb 2025
Contributed by Lukas
As earnings season hits its stride with a 77% beat rate, Christine Short of Wall Street Horizon explains why revenue growth and tariff concerns might ...
January CPI Preview: The Devil's in the Details
14 Feb 2025
Contributed by Lukas
As markets await January's CPI print, our experts explain why rounding effects and seasonal adjustments could surprise traders. Learn why Trump...
Double Header: Why NFP and BoE Might Not Matter
13 Feb 2025
Contributed by Lukas
As markets brace for NFP and the BoE's rate decision, our experts explain why Trump's tariffs and shifting global dynamics might matter more t...
ECB's Dilemma: Fighting Fire on Multiple Fronts
13 Feb 2025
Contributed by Lukas
As the ECB prepares its first rate cut to 3%, our experts explain why Europe's problems run deeper than monetary policy can fix. From contracting ...
FOMC Preview: The Calm Before Trump's Storm?
13 Feb 2025
Contributed by Lukas
Join our experts as they explain why January's "most predictable" Fed meeting could still surprise markets. From DeepSeek's impact o...
CPI Preview: Is Inflation Really Under Control?
13 Feb 2025
Contributed by Lukas
As markets brace for December's inflation data, our experts explain why even a modest uptick in headline CPI to 2.9% could rattle investors. Learn...
Q4 Earnings Season: Why Good Might Not Be Good Enough
13 Feb 2025
Contributed by Lukas
With Q4 earnings growth expected to hit 12%, Wall Street Horizon's Christine Short explains why investors might still not be satisfied. Discover w...
NFP Preview: Why This Jobs Report Might Not Matter
13 Feb 2025
Contributed by Lukas
Markets expect 165,000 new jobs in December's report, but our experts reveal why Trump's upcoming presidency and surging bond yields might ove...
Commodity Corner: The Super Bowl of Grain Reports
13 Feb 2025
Contributed by Lukas
In our Commodity Corner debut, expert analyst Chris Stadale reveals why January's WASDE report could pack an extra punch for grain markets. From r...
FOMC Preview: The Last Dance of 2023
13 Feb 2025
Contributed by Lukas
As markets brace for the year's final Fed meeting, our experts expose the growing disconnect between market expectations and Fed projections. Disc...
Triple Header: US CPI and Global Central Bank Decisions
13 Feb 2025
Contributed by Lukas
Markets face a perfect storm as November's US CPI report coincides with a slate of major central bank decisions. Our experts reveal why the headli...
NFP Preview: December's High-Stakes Jobs Report
13 Feb 2025
Contributed by Lukas
Markets anticipate a robust bounce in November's jobs numbers, but our expert trader explains why the underlying trends tell a different story. Le...
Inflation Watch: Making Sense of October's CPI Report
13 Feb 2025
Contributed by Lukas
October's CPI report arrives at a critical juncture, with fresh political dynamics and uncertain Fed policy hanging in the balance. Our analysts d...
CPI Preview: High Stakes for Markets After Trump Victory
13 Feb 2025
Contributed by Lukas
October's CPI report arrives at a critical juncture, with fresh political dynamics and uncertain Fed policy hanging in the balance. Our analysts d...
Markets React: Trump's Victory and the Fed's Next Move
13 Feb 2025
Contributed by Lukas
In the wake of Trump's victory and Republican sweep of Congress, markets are grappling with a new political reality just as major central banks pr...