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Bloomberg
October Market Worries: Investors Face Volatility, Fears
Oct. 6 -- Bloomberg's Mike Regan, Lisa Abramowicz and Julie Hyman examine the trading week ahead after the main concerns of traders in the month of October. They speak in ""On The Markets"" on Bloomberg Television's ""In The Loop.
Bloomberg
Weighing Market Risks, Rewards of Europes Economy
Oct. 7 -- BlackRocks Ewen Cameron Watt talks with Guy Johnson about the state of the European economy, the impact of European Central Bank policy and how global economic risks shape investment strategies. He speaks on The Pulse.
Bloomberg
Low Volatility Strategies Will Outperform: Axioma
Jan. 6 -- Axioma APAC Managing Director Olivier dAssier discusses the global risks that could affect Asian markets and how investors should play them with Bloomberg's Angie Lau on First Up. (Source: Bloomberg)
Bloomberg
Global Economy Is on Sustainable Path: Woods
Sept. 24 -- Citi Investment Management Managing Director and Head of Fixed Income John Woods discusses geopolitical risk, its impact on the market and his outlook for the markets for 2015 with Bloomberg's Angie Lau and Rishaad Salamat on...
Bloomberg
Morgan Stanley Says Brexit Risks Softened by Election
Jun.12 -- Andrew Sheets, chief cross-asset strategist at Morgan Stanley, discusses the outcome of the U.K. election and what it means for Brexit. He speaks on "Bloomberg Markets: European Open."
Bloomberg
We've Added to Our Risk Assets, Says UBS' Haefele
Sep.26 -- Mark Haefele, global chief investment officer at UBS Wealth Management, discusses the risks and the opportunities in markets. He speaks on "Bloomberg Daybreak: Europe" from the UBS Global Family Day 2018 in Zurich.
Bloomberg
We Dont See a Systemic Risk Bubble in Bonds: Byrne
Oct. 29 -- Richard Byrne, president at Benefit Street Partners, offers his view on the state of the bond market, the factors that can have the greatest impact on investors and discusses his current investment strategy. He speaks with...
Bloomberg
Europe Need Long-Term Oriented Reforms: UBS Weber
Sept. 18 -- In an exclusive interview, UBS Chairman Axel Weber discusses risk for the ECB with Bloomberg's Manus Cranny on Countdown. (Source: Bloomberg)
Bloomberg
U.S. Expansion Could Rival 1990s Growth: Mullaney
Jan. 8 -- Michael Mullaney, chief investment officer at Fiduciary Trust, explains why Greece is a big risk to markets and offers his economic and market outlooks for 2015. He speaks on In The Loop.
Bloomberg
U.S. Stocks Fall; Oil and Euro Weaken
Jan. 6 -- Stocks in the U.S. fell and oil prices saw declines of as much as 6% in the session. Bloomberg's David Ingles reports on First Up. (Source: Bloomberg)
Bloomberg
UBS' Donovan: See Upside for Oil in Next Six Months
Sept. 26 -- Paul Donovan, global chief economist at UBS, discusses oil prices, global demand for the commodity, the U.S. presidential debate and the timing of the next Fed rate hike. He speaks to Manus Cranny and Angie Lau on "Bloomberg...
Bloomberg
Natixis’ Lafferty: Valuations More Compelling in Europe
Feb.22 -- Natixis Global Asset Management Chief U.S. Market Strategist David Lafferty discusses the French presidential election and its implications on European equity markets. He speaks on “Bloomberg Markets.â€
Bloomberg
What RegentAtlantic's Kapyrin Likes About Emerging Markets
Jun.07 -- Andy Kapyrin, partner and director of research at RegentAtlantic Capital, discusses the biggest market risks for investors and inflation. He speaks on "Bloomberg Daybreak: Asia."
Bloomberg
JPMorgan: Nothing to Derail Big Move Up in Risky Markets
Jan.07 -- John Normand, head of cross-asset fundamental strategy at JPMorgan, discusses the impact of geopolitical risks on investor sentiment and riskier assets. He speaks on "Bloomberg Surveillance."
Bloomberg
Credit Suisse Dials Back Asia Risk Control
Credit Suisse Group AG, fighting to stem a wave of investor outflows, is dialing back some stringent anti-money laundering controls in Asia after they drew protests from clients and bankers and contributed to staff departures. Stefania...
Bloomberg
Inflation Not Down as Quickly as Hoped: BlackRock's Powell
Ben Powell, chief APAC strategist at BlackRock Investment Institute, discusses how he's approaching risk right now, inflation and his outlook for markets. He speaks on Bloomberg Television.
Bloomberg
G-20 Sees Possible Financial Market Risk
Sept. 22 -- Bloomberg's Paul Allen reports on a warning from the Group of 20 finance chiefs and central bankers that low interest rates can lead to an increase in financial market risk. He speaks to Angie Lau on First Up. (Source:...
Bloomberg
2023 Is a Time for Investors to Add Risk: Chan
Cecilia Chan, chief investment officer for APAC at HSBC Asset Management, discusses the current state of markets, her investment strategy for 2023 and where she's finding opportunity. She speaks on Bloomberg Television.
Bloomberg
Investors Risk-On Trade Re-Fuels Bond Market Rally
Oct. 21 -- Bloomberg's Lisa Abramowicz, and Mia Saini examine a return of the bond rally as investors return to a risk-on trade. They speak in ""On The Markets"" on ""In The Loop.""
Bloomberg
BlackRock's Fink Says Climate Risk Is Investment Risk
Oct.13 -- BlackRock Inc. Chief Executive Officer Larry Fink says the Covid-19 pandemic is accelerating society's demand to address climate change. He speaks during an International Monetary Fund virtual event hosted by Bloomberg's...
Bloomberg
Dudley: Uncertainty Disconnected From Financial Markets
Sept. 22 -- New York Fed President William Dudley examines the potential points of uncertainty that could bring volatility to stock and bond markets. He speaks with Matthew Winkler at the Bloomberg Markets Most Influential Summit on...
Bloomberg
Climate Risk Requires Fundamental Reshaping of Finance: BlackRock
Jan.20 -- Philipp Hildebrand, vice chairman at BlackRock, discusses the asset manager's plan to ditch investments with high sustainability-related risk as climate concerns drive a sweeping change in the way the firm invests its $7...
Bloomberg
Whats Driving All the Volatility Buying?
Dec. 11 -- Equity Armor Investments Dan Deming discusses volatility with Olivia Sterns on Street Smart. (Source: Bloomberg)
Khan Academy
Khan Academy: Collateralized Debt Obligations: Collateralized Debt Obligation
Depending on levels of risk tolerance of investors, a mortgage broker may restructure collateralized debt obligations so that all parties benefit. [4:19]