Macro Strategy Views – Cross-asset rotation and implications for currencies

In our weekly Macro Strategy Views podcast we discuss the FX winners and losers from cross-asset rotation. We discuss the importance of equity and fixed income flows for the broad USD and the implications for Scandi currencies. Global Head of FI&C Research Thomas Harr chairs today’s podcast, while our Head of FX Research Christin Tuxen joins him

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In our podcast, Macro Strategy Views, we focus on topical macro and market themes targeting investors and trading corporates. Host Thomas Harr will discuss weekly market views, and deep dive into a selected theme together with his co-host of the week.