Description
In this latest podcast our focus remains on the fallout from US Trade Policy, analysing the degree to which recessionary risks have risen and the potential policy response. Discussions do not centre entirely on the US, however, indeed time is taken to review how other important regions are managing this challenge and executing their own fiscal agenda, independent of trade disruption. We conclude with comments on how stock markets ‘may’ begin to form a bottom – though recognising downside risks are still material.
This podcast was recorded on 8th April 2025.
*This podcast is for UK Professional Clients Only. Capital at Risk. Past performance does not predict future returns.
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