• From Bubble Talk to Sequencing: 2025 Takeaways for 2026
    Jan 9 2026

    We revisit 2025’s defining themes, and discuss why ‘sequencing’ - timing entries and exits around range bound rate moves and curve shape rather than level - matters as markets stabilize and growth re-accelerates.

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    22 Min.
  • AI, Inflation, and the Debasement Trade - Real Estate in a Fragmented World
    Dec 9 2025

    Marc Mogull and Hani Redha dive into macro trends, technological change, inflation’s “higher resting heart rate,” and the growing importance of asset scarcity and trust.

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    24 Min.
  • The Bond Market That Didn’t Bark: Uncovering Hidden Market Signals
    Nov 19 2025

    We discuss growth and inflation outlooks, labor market risks, the Fed’s evolving policy stance, and explain why sometimes the absence of market movement is the biggest clue of all.

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    12 Min.
  • Front-Loaded Fed: Why Fewer Cuts and a Stronger Dollar Are in Sight
    Oct 24 2025

    We discuss the improving US growth picture heading into 2026, the implications of stabilizing growth, inflation, and monetary policy - and why the market may be underestimating the impact of fiscal tailwinds like tax refunds.

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    10 Min.
  • Sliding Doors: The Fed’s Rate Cut Dilemma and the 10-Year Tug of War
    Sep 26 2025

    We explore why monetary policy is at a crossroads, and what it means for yields, credibility, and curve dynamics.

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    10 Min.
  • Rates, Revisions, and the Dollar: Navigating the Fed’s Soft Landing
    Sep 2 2025

    From data reliability and Fed policy to currency dynamics and rate forecasts, this episode explores how a soft-landing scenario and evolving fiscal conditions shape our outlook for rates and the US dollar.

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    13 Min.
  • Rates, Risk, and Resilience: Fed Strategy, Market Reactions, and the Politics of Monetary Policy
    Jul 21 2025

    We explore the outlook for rates and FX amid a soft landing scenario—and dive into the rising political pressure on the Fed. Could central bank independence be at risk?

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    12 Min.
  • EM Debt Outlook: From East to West
    Jul 3 2025

    We discuss the impact of US tariffs, regional corporate sentiment, and the macroeconomic developments shaping the second half of the year.

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    36 Min.