U.S. To See Higher Rates Than Euro Area: StanCharts' Vinals
Standard Chartered Chairman José Viñals discusses client concerns about inflation, hiking interest rates, and bringing staff back to the office.
Geopolitical Futures Friedman On Top Geopolitical Risks
Geopolitical Futures Founder and Chairman George Friedman discusses the biggest geopolitical risks for 2022.
Complacency Around Omicron Is Key Risk For Markets
Mike Bell, executive director and global market strategist at JPMorgan Asset Management, discusses his outlook for markets in 2022, the surge in bond yields and his position on Chinese equities.
Binance CEO On Crypto ETFs, Regulation
Changpeng Zhao, Binance CEO, discusses crypto ETFs, industry regulation and investing in Europe's crypto infrastructure.
Focus On Sustainability Of Tech Profits
Franklin Mutual Series Portfolio Manager Katrina Dudley discusses the sustainability of tech profits, U.S. versus European markets, and hawkish pressure on the ECB.
Barclays CEO On Investment Banking, Higher Bonuses
Barclays Plc CEO Jes Staley discusses third-quarter earnings, the bank's trading performance, and the outlook for wages and bonuses.
Market Environment Supportive For Risk Assets: JPMorgan AM
Myles Bradshaw, head of global aggregate fixed income strategist at JPMorgan Asset Management, discusses the rebound in risk assets, inflation expectations and if the BOE will be the next central bank to raise interest rates.
Threadneedle's Tannuzzo: We're More Nervous About Long End Of Yield Curve
Gene Tannuzzo, global head of fixed income at Columbia Threadneedle Investments, says this is an important time for the bond market.
BlackRock's Li Is Overweight On European Equities
Wei Li, chief global investment strategist at BlackRock Investment Institute, discusses European equities and her investment strategy.
RockCreek's Beschloss On China-Afghan Relations, Fed Tapering
RockCreek founder and CEO Afsaneh Beschloss discusses how China's energy industry stands to benefit from the Taliban takeover of Afghanistan and what a tapering of Federal Reserve monetary policy could mean for global markets.