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Outerblue

Outerblue

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Welcome to Outerblue, a podcast channel to guide professional investors on their financial journey Four series are available: Outerblue Convictions: Our monthly market analysis and investment convictions This series presents our latest analysis of the markets, asset allocation trends and our investment convictions. Each month, listen to Monica Defend, Head of Amundi Institute, discuss Amundi’s views with Swaha Pattanaik, your host on this podcast. Outerblue Conversations: Latest insights and discussion on a variety of investment topics This series discusses topical developments in the world of investment. Listen to expert views on the economic and geopolitical landscape, discover the insights, implications, and analysis as well as market views and asset allocation recommendations. Outerblue Responsible investment: Responsible investing themes shaping the investment landscape This podcast explores and explains the latest responsible investment themes. Listen to experts from Amundi’s responsible investment teams share their insights on the latest environmental trends investors should be watching Outerblue Talks Research: knowledge sharing on financial research This podcast takes a closer look at current financial research topics and themes. Join Swaha Pattanaik, Head of publishing and digital strategy, to learn more about the latest research, the findings and implications from Amundi’s research experts. Hosted on Ausha. See ausha.co/privacy-policy for more information.Amundi Economía Finanzas Personales
Episodios
  • Iran conflict: A temporary shock or a more persistent shift? Global Investment Views by Outerblue Convictions
    Mar 24 2026

    The war in Iran has shaken markets and is threatening the stability of the global economy. As energy prices surge and the news flow comes thick and fast, this month’s host, Silvia Di Silvio, speaks to Monica Defend, Head of the Amundi Investment Institute, to hear her thinking on the crisis and how it is changing Amundi's investment views.

    They take a closer look at what the war means for inflation, both in the near and longer-term, and when a temporary supply shock might turn into a more permanent change to the economic regime. They also consider the potential reactions from central banks as policymakers try to manage this complex environment of higher inflation, due to energy prices, combined with weaker growth.

    The edition continues with a focus on the US dollar, which has been faring relatively well in the current crisis. Do we expect this to be the end of the USD downward trajectory?

    Finally, we wrap up with a review of how these developments are impacting our asset allocation and portfolio construction views and the importance of smarter, multi-layered diversification in building resilient portfolios.



    Concise, insightful and timely, this episode is essential listening for investors and asset allocators seeking a clear, expert take on macro-economic signals and monetary policy moves. Tune in for practical perspectives, investment views and the themes that will shape portfolios in the short and medium-term.


    To learn more, read our latest articles on the Amundi Research Center: https://research-center.amundi.com/


    Topics covered: Energy crisis, conflict, Iran, inflation, monetary policy, investment views, asset allocation, risk, economy, geopolitics, central banks, Federal Reserve, markets, investors, interest rates, equities, United States, USD, diversification, gold, hedging,


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

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    14 m
  • Fragmented forces shaping the markets - Global Investment Views by Outerblue Convictions
    Mar 2 2026

    As tariffs figures once again hit the headlines, our new episode of Outerblue Convictions measures the feeling in the markets and looks at some of the main drivers over the past few weeks. Swaha Pattanaik speaks to Monica Defend, head of the Amundi Investment Institute, to gauge her reaction to the latest round of tariffs, and whether these impact our investment views.


    This month's episode looks at the switch we've seen in global markets in this new era of controlled disorder, analyses some of the disruptions from AI that are already starting to play out, and explores some of the diversification opportunities that can be found in this fragmented environment. We also discuss whether we can expect the gold rally to continue, why India remains a key investment theme, and we finish by looking forward to the upcoming EU summit and why it might be relevant for markets.



    Concise, insightful and timely, this episode is essential listening for investors and asset allocators seeking a clear, expert take on macro-economic signals and monetary policy moves. Tune in for practical perspectives, investment views and the themes that will shape portfolios in the short and medium-term.


    Topics covered: Market forecasts, monetary policy, policy making, investment views, asset allocation, economy, central banks, gold, markets, investors, equities, bonds, fixed income, Europe, India, emerging markets, AI, diversification, tariffs,


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

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    16 m
  • Tracking the trends in a time of rupture - Global Investment views by Outerblue Convictions
    Feb 3 2026

    After a flurry of headlines and announcements from the annual World Economic Forum in Davos in January, one key message is likely to survive after most of the speeches have been long-forgotten; The world is facing a rupture in the international order.


    Catching-up last week on her return from the meetings, Monica Defend, head of the Amundi Investment Institute, sat down with our host, Swaha Pattanaik, to share her observations from the ground and on how this rupture is likely to impact our economic research and investment views.


    As policy, geopolitics and volatility drive the market cycle, we look at what this means for the monetary policy outlook in the US and the key data driving forecasts. We consider some of the short and medium-term trends we're seeing in the markets, particularly gold and the forces driving the record highs, what's been impacting the US dollar, and examine what has been happening in the Japanese market, both for foreign exchange and government bonds.


    Concise, insightful and timely, this episode is essential listening for investors and asset allocators seeking a clear, expert take on macro-economic signals and monetary policy moves. Tune in for practical perspectives, investment views and the themes that will shape portfolios in the short and medium-term.


    To learn more, read the article on the same topic: https://research-center.amundi.com/article/diversification-response-rupture


    Topics covered: Market forecasts, monetary policy, policy making, investment views, asset allocation, economy, Davos, geopolitics, central bank, Federal Reserve, Japan, Gold, markets, investors, interest rates, bonds, fixed income, FX, foreign exchange, United States, diversification


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

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    11 m
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