Macro Strategy Views: Why US assets remain the only game in town

In our weekly podcast, Macro Strategy Views, we discuss the outlook for the US dollar and equities. In our view, the US dollar will stay strong until the US economy enters a recession. This has important cross-asset implications, particularly for the oil price, equities and interest rates. Global Head of FI&C Research, Thomas Harr, chairs today’s podcast and he is joined by our Chief Equity Strategist, Mattias Sundling, and our cross asset strategist, Kristoffer Kjær Lomholt.

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.