Macro Strategy Views Podcast: A deal is still likely despite the UK’s house of cards
In our weekly podcast, Macro Strategy Views, we focus on topical macro and market themes targeting investors and trading corporates. Today, we focus on Brexit. Thomas Harr, Global Head of FI&C Research, chairs today’s podcast and our UK economist Mikael Olai Milhøj joins him. In today’s podcast, we focus on the contents of the withdrawal agreement and the likelihood of a deal. The biggest risks to a deal are a no-confidence vote against Theresa May and the vote in the House of Commons. We discuss these risks as well as the implications for markets.