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Macro Analysis: Labor Market Moderation and Market Volatility

Author
42 Macro
Published
Fri 10 Jan 2025
Episode Link
https://42macro.com/podcasts-macro-minute?id=3c517752f35044afac8dc00f38638d69&utm_campaign_id=podcast&content=mm_2025-01-10&utm_source=mp3&utm_medium=podcast&utm_campaign=macrominute&utm_id=podcast&utm_term=episode

This episode dives into key macro questions about how stocks might react as the labor market moderates. It covers the surprising outcomes from the December Jobs Report, the impact on stocks and bonds, and the Fed's anticipated shifting priorities from supporting the labor market in early 2025 to potential changes later. The podcast outlines strategies to navigate a current inflation regime with a defensive portfolio, discusses quantitative signals such as a 10-year Treasury yield fair value above 5.5%, and evaluates both risks (like further hawkish policy, a stronger U.S. dollar, and global liquidity declines) and opportunities (including a possibility of Fed dovishness in 1H25).

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