Macro-volatility and market drivers shaping markets
The panel
- Beata Harasim, Senior Investment Strategist, BlackRock
- Arnab Das, Global Market Strategist, Europe, the Middle East and Africa, Invesco
- James Binny, Head of Investments, SSGA Europe, and Global Head of Currency, State Street Global Advisors
- Philippe Waechter, Chief Economist, Ostrum Asset Management
- David Page, Senior Economist, AXA Investment Managers
This FX Markets Europe 2021 webinar explores:
- Why currency volatility is so low, including when compared to fixed income volatility
- How to assess macro differentiation in developed markets and the implications for FX in 2022
- Whether the currency market should be concerned about the fast rise in US budget deficits and debt
- The impact of the Federal Reserve’s quantitive easing taper on emerging markets currency volatility
- How political events could shape FX markets in 2022.
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