
Closing Bell: Tech’s Moment of Truth 10/18/23
Closing Bell
00:00
Market Resilience, Geopolitical Risk, and the Fed's Role
In this chapter, the podcast discusses how the market has remained resilient in the face of geopolitical risks and analyzes the potential impact on US equity markets. They explore the increase in gold prices due to fear and geopolitical risk, and question whether the Fed can still save the market in a high inflation environment. The chapter concludes with a mention of Jay Powell's upcoming speech and its potential impact on the markets.
Play episode from 28:59
Transcript


