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Episode 29 – Geopolitics & Investment with Marko Papic cover
Episode 29 – Geopolitics & Investment with Marko Papic cover
Time in the Market

Episode 29 – Geopolitics & Investment with Marko Papic

Episode 29 – Geopolitics & Investment with Marko Papic

1h02 |08/07/2025
Play
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Episode 29 – Geopolitics & Investment with Marko Papic cover
Episode 29 – Geopolitics & Investment with Marko Papic cover
Time in the Market

Episode 29 – Geopolitics & Investment with Marko Papic

Episode 29 – Geopolitics & Investment with Marko Papic

1h02 |08/07/2025
Play

Description

In the latest episode of our award-winning podcast series we are privileged to host Marko Papic, lauded Geopolitical Investment Strategist, author, media star and author. In a fast-paced, insightful and highly entertaining conversation we discuss how US politics, fiscal and monetary policy are shaping Marko’s view on the equity, bond and currency markets – with a particular focus on the dollar. Thoughts and investment insights on the Middle East and Russia/Ukraine crisis also feature. A really enjoyable and informative conversation running slightly longer than our usual form – but we felt we could not waste the opportunity!

This podcast is for UK Professional Investors Only. Capital at Risk.

This podcast was recorded on 1st July 2025


Hosted by Ausha. See ausha.co/privacy-policy for more information.

Description

In the latest episode of our award-winning podcast series we are privileged to host Marko Papic, lauded Geopolitical Investment Strategist, author, media star and author. In a fast-paced, insightful and highly entertaining conversation we discuss how US politics, fiscal and monetary policy are shaping Marko’s view on the equity, bond and currency markets – with a particular focus on the dollar. Thoughts and investment insights on the Middle East and Russia/Ukraine crisis also feature. A really enjoyable and informative conversation running slightly longer than our usual form – but we felt we could not waste the opportunity!

This podcast is for UK Professional Investors Only. Capital at Risk.

This podcast was recorded on 1st July 2025


Hosted by Ausha. See ausha.co/privacy-policy for more information.

Share

Embed

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Description

In the latest episode of our award-winning podcast series we are privileged to host Marko Papic, lauded Geopolitical Investment Strategist, author, media star and author. In a fast-paced, insightful and highly entertaining conversation we discuss how US politics, fiscal and monetary policy are shaping Marko’s view on the equity, bond and currency markets – with a particular focus on the dollar. Thoughts and investment insights on the Middle East and Russia/Ukraine crisis also feature. A really enjoyable and informative conversation running slightly longer than our usual form – but we felt we could not waste the opportunity!

This podcast is for UK Professional Investors Only. Capital at Risk.

This podcast was recorded on 1st July 2025


Hosted by Ausha. See ausha.co/privacy-policy for more information.

Description

In the latest episode of our award-winning podcast series we are privileged to host Marko Papic, lauded Geopolitical Investment Strategist, author, media star and author. In a fast-paced, insightful and highly entertaining conversation we discuss how US politics, fiscal and monetary policy are shaping Marko’s view on the equity, bond and currency markets – with a particular focus on the dollar. Thoughts and investment insights on the Middle East and Russia/Ukraine crisis also feature. A really enjoyable and informative conversation running slightly longer than our usual form – but we felt we could not waste the opportunity!

This podcast is for UK Professional Investors Only. Capital at Risk.

This podcast was recorded on 1st July 2025


Hosted by Ausha. See ausha.co/privacy-policy for more information.

Share

Embed

You may also like