This episode explores key macro questions such as whether the U.S. consumer remains resilient and how the ECB’s recent rate cut might impact the global financial landscape. The discussion highlights robust September retail sales supporting the resilient U.S. economy, and covers topics from rising liquidity and the bullish outlook for risk assets to short-term and long-term quantitative signals. Additionally, the podcast examines market regimes like the current GOLDILOCKS environment versus potential inflationary scenarios, and discusses both the risks of policy-driven tightening and the opportunities arising from long-term monetary debasement and financial repression.