News Clip1:43
Bloomberg

Copper Sets Sights on 2018 Highs as Oil Sees Limited Upside Without S&P 500

Higher Ed
Apr.01 -- On this edition of "Charting Futures," Bloomberg Intelligence's Mike McGlone examines copper and crude oil prices. He speaks with Bloomberg's Scarlet Fu and Caroline Hyde on "Bloomberg Markets: The Close."
News Clip3:01
Bloomberg

Bitcoin and Gold Linked ‘In a Way,’ BofA’s Blanch Says

Higher Ed
Jun.22 -- Francisco Blanch, head of global commodities and derivatives research at Bank of America Securities, discusses his view of Bitcoin and how it is inversely correlated with gold. He speaks on “Bloomberg Surveillance.”
News Clip2:03
Bloomberg

Innovation Will Be Rewarded in Pharma, Says Jain

Higher Ed
Jul.30 -- Nirad Jain, partner at Bain & Company, discusses focused innovation in the health-care industry. He speaks with Bloomberg’s David Westin on “Bloomberg Daybreak: Americas.”
News Clip1:21
Bloomberg

Oil Analyst Shover Looks to China to Stabilize Global Market

Higher Ed
Feb.14 -- In "Futures In Focus," Lawrence Shover of Efficient Advisors examines the correlation between WTI and Brent crude. He speaks with Bloomberg's Guy Johnson on "Bloomberg Markets."
News Clip4:13
Bloomberg

How to Position Portfolios Ahead of Election Day

Higher Ed
Nov.02 -- Tony Rodriguez, Nuveen Asset Management head of fixed income strategy, talks about building a diversified portfolio ahead of Election Day. He's on "Bloomberg The Open."
News Clip6:53
Bloomberg

Iqbal: Neutral on KSA & Dubai Markets

Higher Ed
Fahd Iqbal, Head of Middle East Strategist at Credit Suisse, discusses his regional macro strategy. He speaks with Yousef Gamal El-Din on "Bloomberg Daybreak: Middle East."
News Clip2:24
Bloomberg

FTSE 100 Rebounds to Erase Post-Brexit Losses

Higher Ed
June 29 -- European stocks closed with a gain of 3.2 percent, erasing losses suffered in the aftermath of the U.K.'s Brexit vote as European stocks rallied for a second day. Bloomberg's Mark Barton breaks down the day's trading on...
News Clip3:39
Bloomberg

Investor Excitement as a Reason for Worry in Markets

Higher Ed
Sept. 22 -- Tobias Levkovich, chief U.S. equity strategist at Citigroup, talks about becoming concerned for markets when investors get over excited. He speaks on "Bloomberg ‹GO›."
News Clip5:33
Bloomberg

How to Ride the Trump Rally

Higher Ed
Jan.12 -- Convergex Chief Market Strategist Nick Colas discusses the rotation in equities and how the approach to picking stocks has changed since the election of Donald Trump. He speaks on “Bloomberg Markets.”
News Clip2:51
Bloomberg

Options Insight: The ‘Shark Fin’ Trade

Higher Ed
Dec.20 -- Macro Risk Advisors Pravit Chintawongvanich discusses the Dow and his SPY options strategy. He speaks with Abigail Doolittle on “Bloomberg Markets.”
News Clip2:34
Bloomberg

Goldman's Currie Says Commodities Worked as Advertised in Equity Selloff

Higher Ed
Feb.07 -- Jeffrey Currie, global head of commodities research at Goldman Sachs, discusses the performance of commodities and metals during the global equity selloff. He speaks with Bloomberg's Tom Mackenzie at the Global Macro Conference...
News Clip4:09
Bloomberg

Is There Market Demand for U.S. Ultra-Long Bonds?

Higher Ed
Aug.29 -- Priya Misra, head of global rates research at TD Securities, Tom Tzitzouris, head of fixed income research at Strategas, and Julian Emanuel, equity and derivatives strategist at BTIG, examine market appetite for U.S. ultra-long...
News Clip4:02
Bloomberg

Oil Faces Longest Losing Streak Since 2015

Higher Ed
Aug.17 -- In "Futures In Focus," Alan Knuckman of Agora Financial examines the oil market and the factors that could potentially push prices higher. He speaks on "Bloomberg Markets."
News Clip6:03
Bloomberg

Lincoln International's Ron Kahn on Health of Private Equity Market

Higher Ed
May.23 -- Lincoln International Managing Director Ron Kahn joins Bloomberg Senior Deals Reporter Ed Hammond to explain why the private middle market is an indicator for the overall health of private equity.
News Clip5:11
Bloomberg

BNP Paribas AM Sees Some Upside for Equities Short Term

Higher Ed
Jun.16 -- Paul Sandhu, head of multi-assets quant solutions and client advisory for APAC at BNP Paribas Asset Management, shares his investment strategy on stocks and bonds. He speaks on "Bloomberg Markets: Asia."
News Clip3:38
Bloomberg

Why It Might Be Time to Shop Lululemon

Higher Ed
Aug.27 -- Jim Strugger, MKM Partners head of derivatives strategy, discusses his options strategy with Bloomberg's Abigail Doolittle on "Bloomberg Markets."
News Clip1:40
Bloomberg

Barclays' Barth Sees Dollar Tension in G-10 Currencies

Higher Ed
Dec.06 -- Marvin Barth, head of FX strategy at Barclays, examines G-10 currencies and weakness in the Mexican peso. He speaks with Bloomberg's Tom Keene on "Bloomberg Surveillance."
News Clip3:35
Bloomberg

UBS Sees Mis-Pricing in Equity Markets

Higher Ed
Feb.17 -- Bhanu Baweja, chief strategist at UBS, discusses the outlook for equities amid the coronavirus outbreak and expectations of central bank liquidity boost to markets. He speaks on "Bloomberg Surveillance."
News Clip6:12
Bloomberg

StanChart: Gold May Average $1,820/oz In 3Q

Higher Ed
Aug.09 -- Standard Chartered Bank Executive Director, Precious Metals Research, Suki Cooper, expects gold prices to average $1,820/oz in the third quarter, peak in the fourth quarter, and then, to trend lower in 2022. She was speaking...
News Clip5:42
Bloomberg

ANZ's Yeung on China Market Outlook

Higher Ed
Raymond Yeung, Chief Greater China Economist at ANZ Bank, discusses his outlook for the China markets as ANZ has cut China's 2023 GDP forecast to 4.2% from 5.2%. He speaks with David Ingles on "Bloomberg Markets: China Open".
News Clip4:22
Bloomberg

Quadratic Capital's Davis on Markets, Strategy

Higher Ed
Nancy Davis, founder and CIO at Quadratic Capital Management, discusses her outlook markets and investment strategy. She speaks with Shery Ahn and Haidi Stroud-Watts on "Bloomberg Daybreak: Australia".
News Clip3:47
Bloomberg

Brent Crude's Tumble Hurts Asias Top Oil Currency

Higher Ed
Jan. 8 -- As Asias only major oil exporter, Malaysia is reeling from the plunge in fuel prices. A drop in Brent crude below $50 a barrel for the first time in almost six years could see the ringgit post further losses of as much as 4...
News Clip3:45
Bloomberg

Investor Sentiment on Aetna-Humana Deal Darkens

Higher Ed
July 1 -- Ira Gorsky, Elevation event driven strategist, and Bloomberg's Ed Hammond discuss insurance industry consolidation with Bloomberg's Shery Ahn on "Bloomberg Markets."