Macro Strategy Views: The short- and long-term consequences of Brexit

Today, we discuss why we think the EU and UK are moving closer to each other in the negotiations, the difference between a deal and no-deal and the implications for financial markets. We also discuss the medium-term implications for the UK economy, whether the UK could become Europe’s Singapore and the implications of the US election. Global Head of FI&C Research Thomas Harr chairs today’s podcast and he is joined by Senior Analyst and UK economist Mikael Olai Milhøj.

Om Podcasten

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.