Description
In this latest episode we offer a neat summary of the most recent Trade developments from the new President, before pivoting to a review of the recent US Jobs Report and the potential consequences for policy. We then discuss the recent Bank of England interest rate decision and the ‘split-vote’, before concluding with some comment on recent earnings’ releases and how this is shaping investment strategy.
This podcast was recorded on 10th February 2025.
*This podcast is for UK Professional Clients Only. Capital at Risk. Past performance does not predict future returns.
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