Global Macro Update cover image

Double the Return with Lower Volatility

Global Macro Update

00:00

Performance, carry and volatility advantages

Eric highlights EM carry around 6–7%, lower bond volatility, and how that creates a strong risk-reward versus developed markets.

Play episode from 20:38
Transcript

The AI-powered Podcast Player

Save insights by tapping your headphones, chat with episodes, discover the best highlights - and more!
App store bannerPlay store banner
Get the app