
Bloomberg Surveillance Market Volatility in 2025
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Aug 6, 2025 Mike Wilson, Chief US Equity Strategist at Morgan Stanley, shares insights on the equity rally and volatility expectations for 2025. Anastasia Amoroso, Chief Investment Strategist at Partners Group, discusses the potential of private investments and their market approach, referencing changes in pricing transparency. Steve Auth, CIO of Federated Hermes, examines the soft-hard data gap and its implications for the equity outlook. Together, they unpack strategies for navigating uncertainty while revealing intriguing predictions about market dynamics and equity performance.
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Private Market Valuation and Liquidity
- Consider private markets for potentially cheaper valuations compared to public markets.
- Manage liquidity carefully using evergreen solutions providing clients quarterly liquidity options.
Private Credit's Growing Market Role
- Private credit fills the lending gap left by banks, now accounting for about 75% of the market.
- Attractive excess spreads of around 500 basis points make private credit appealing even if rates fall.
Tariffs and Tax Stimulus Outlook
- 2025 likely sees market consolidation due to tariff impacts and Fed policy uncertainty.
- Favorable corporate tax changes offer tangible stimulus potential into 2026, supporting earnings growth.

