A short podcast providing our view on what’s happened in markets over the past week and what’s coming up.
Equity markets took fright at an upward spike in US Covid-19 cases, while government bond markets reacted positively to weaker growth forecasts. Oil and gold also moved in opposite directions, contrasting the negative reaction to further big write-downs in the oil sector with sustained demand for gold.
Presented by Nathan Sweeney, Senior Investment Manager and Mayank Markanday CFA, Senior Investment Manager. Hosted by Lorna Denny, Investment Specialist.
Click on the player graphic below to listen to the podcast on the SoundCloud platform.