UP 264: A far from synchronised global recovery

Published: Feb. 2, 2022, 9:06 a.m.

To varying degrees, inflation, geopolitical tensions and inevitably Covid continue to dictate investor behaviour in general. However, policy responses around the world have to respect what’s going on locally and national economic conditions differ markedly. The team look at the dislocations in economic cycles and their implications for financial markets in this month’s global podcast.