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42 Macro Consolidated Summary: September 23, 2024

Author
42 Macro
Published
Mon 23 Sep 2024
Episode Link
https://42macro.com/podcasts-macro-minute?id=51cb8d8ee420457fbb0a267d281630ac&utm_campaign_id=podcast&content=mm_2024-09-23&utm_source=mp3&utm_medium=podcast&utm_campaign=macrominute&utm_id=podcast&utm_term=episode

In this podcast, key macroeconomic questions are examined, including whether Europe will dampen a potential year-end rally and if China’s latest stimulus efforts might fall short. The discussion highlights European growth indicators that challenge medium-term Eurozone projections, alongside China's strategic response to the Fed’s monetary adjustments, which help ease capital outflow risks. Detailed analysis covers widened bond yield spreads reminiscent of past economic crises, a slightly positive liquidity impulse in China, and a GOLDILOCKS market regime characterized by a risk-on, disinflationary bias. The podcast further explores short- and medium-term quantitative signals, various positioning models that reveal trends among retail traders, active managers, systematic funds, and hedge funds, and concludes with a comprehensive risk management approach based on volatility-adjusted asset allocation.

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