

Moving Markets
Julius Baer
Moving Markets is the home of podcasts at Julius Baer. Here, our expert teams share concise daily market updates in ‘Moving Markets Daily’ which is complemented by ‘Moving Markets: The View Beyond’, a weekly show dedicated to discussing the context, thematic angles, and investment implications behind key topics shaping the news cycle and conversations among our relationship managers and clients.
The information contained in this podcast is marketing material. Opinions expressed do not constitute independent financial/investment research, investment advice, or an offer to buy or sell securities by Julius Baer. Please refer to www.juliusbaer.com/legal/podcasts for important legal information prior to listening to this podcast.
The information contained in this podcast is marketing material. Opinions expressed do not constitute independent financial/investment research, investment advice, or an offer to buy or sell securities by Julius Baer. Please refer to www.juliusbaer.com/legal/podcasts for important legal information prior to listening to this podcast.
Episodes
Mentioned books

Dec 23, 2025 • 11min
Special episode: What is agentic AI and how might it impact your investments?
Excerpt from Beyond Markets Podcast, originally published on 12.09.2025.This episode is part of a special two-week series featuring highlights from Julius Baer’s recent Beyond Markets podcasts. Our regular show that starts with daily market news returns on Monday 5th January.In this episode of Beyond Markets, we take a closer look at agentic AI, which is no longer just a concept. AI agents are actively reshaping how tasks get done, decisions are made, and content is created. These autonomous systems mark a shift from passive AI models to active agents that can reason, act, and self-improve. We are joined by Manuel Villegas from Julius Baer’s Next Generation Research team to answer these questions and much more.(00:00) - Introduction: Helen Freer, Product & Investment Content
(00:38) - Agentic AI: Manuel Villegas, Next Generation Research and Emily Rookwood, Head of Thought Leadership
(09:40) - Closing remarks: Helen Freer, Product & Investment Content
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Dec 22, 2025 • 8min
Special episode: How structured products can add value to a portfolio
Excerpt from Beyond Markets Podcast, originally published on 01.10.2025.This episode is part of a special two-week series featuring highlights from Julius Baer’s recent Beyond Markets podcasts. Our regular show that starts with daily market news returns on Monday 5th January.Structured products can provide investors with capital protection, enhanced yield, or targeted exposure to specific market scenarios. While they may appear complex to those less familiar with them, this episode of the Beyond Markets podcast aims to demystify these instruments. Helen Freer is joined by two Julius Baer experts, Conrad Bruggisser and Raffaele Perroncello, to explain how structured products work and how they can add value to a portfolio. They also discuss the key risks to consider, why market volatility is relevant and how the products can be tailored to suit different investor profiles.(00:00) - Introduction: Helen Freer, Product & Investment Content
(00:37) - Structured products: Conrad Bruggisser, Head of Markets PB Sales & Solutions and Raffaele Perroncello, Head of Cross Asset Sales
(07:07) - Closing remarks: Helen Freer, Product & Investment Content
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Dec 19, 2025 • 10min
An FX year told in rhyme
In trading yesterday, lower inflation led the way, technology earnings brightened the day. A UK cut, the ECB’s soft tone, sent markets climbing, risk well-known. Across the seas, Japan stood tall, rates are the highest since the mid-2006 call. And to close the year with rhythmic cheer, Tim Gagie, Head of FX Advisory Geneva, penned a verse sincere.(00:00) - Introduction: Helen Freer, Product & Investment Content
(00:52) - Markets wrap-up: Mike Rauber, Product & Investment Content
(06:24) - A festive FX poem: Tim Gagie, Head of FX/PM PB Geneva
(08:24) - Closing remarks: Helen Freer, Product & Investment Content
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Dec 18, 2025 • 19min
Investor rotation hits AI stocks
Markets showed little festive spirit yesterday with almost all equity markets globally declining as investors continued to rotate out of key artificial intelligence names. The sell-off was triggered by concerns around financing issues of a data centre project in the US. In contrast, energy and financial sectors outperformed, supported by rising oil prices and dovish remarks from a Federal Reserve member ahead of today’s key events: interest rate decisions by the ECB and BoE, as well as the release of US inflation data. On today’s show, Norbert Rücker, Head of Economics & Next Generation Research, provides deeper insights into the oil market, while Nicolas Jordan, CIO Strategy & Investment Analysis, discusses asset allocation strategies for the coming year.(00:00) - Introduction: Helen Freer, Product & Investment Content
(00:34) - Markets wrap-up: Jan Bopp, Product & Investment Content
(06:26) - Oil: Norbert Rücker, Head of Economics & Next Generation Research
(12:36) - Update from the CIO Office: Nicolas Jordan, CIO Strategy & Investment Analysis
(17:44) - Closing remarks: Helen Freer, Product & Investment Content
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Dec 17, 2025 • 16min
US jobs data, Tesla’s surge, and oil’s wild ride
Markets digested a mix of headlines yesterday. In the US, the latest jobs report pointed to a resilient but cooling labour market. US equities were mostly subdued, though Tesla stole the spotlight with a record-breaking rally on robotaxi optimism. Oil prices swung sharply, first falling on hopes of a Russia-Ukraine peace deal before rebounding on renewed geopolitical tensions, while gold edged higher as uncertainty lingered. In Europe, defence stocks slipped as peace talks gained traction, and the EU made waves by reversing its planned ban on combustion-engine cars. Asian markets were broadly higher, buoyed by strong export data from Japan. We’re joined by Dario Messi, Head of Fixed Income Research, for an update on bond markets and central banks, and Mathieu Racheter, Head of Equity Strategy Research, who shares insights on their recent upgrade of Swiss equities and their views on the financials sector.(00:00) - Introduction: Helen Freer, Product & Investment Content
(00:38) - Markets wrap-up: Lucija Caculovic, Product & Investment Content
(06:50) - Bond market update: Dario Messi, Head of Fixed Income Research
(11:02) - Equity market update: Switzerland and financials: Mathieu Racheter, Head of Equity Strategy Research
(15:28) - Closing remarks: Helen Freer, Product & Investment Content
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Dec 16, 2025 • 12min
Markets on edge ahead of key labour and inflation data
European equities rallied after industrial production data came in stronger than expected, while Wall Street traded cautiously ahead of a packed schedule of key labour‑market and inflation releases between today and Thursday. The US dollar, oil, gold, and bitcoin all slipped as investors absorbed a noisy flow of macro headlines. On today’s show, Dr. Damien Ng from Next Generation Research joins us to discuss the latest developments in biotech - and why he believes the outlook for the sector is finally brightening after years of underperformance.(00:00) - Introduction: Bernadette Anderko, Product & Investment Content
(00:38) - Markets wrap-up: Roman Canziani, Head of Product & Investment Content
(06:01) - A pivotal year for biotechnology: Damien Ng, Next Generation Research
(11:12) - Closing remarks: Bernadette Anderko, Product & Investment Content
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Dec 15, 2025 • 11min
AI anxiety continues to weigh on main indices
The story that started with Oracle in the middle of last week continued with Broadcom on Friday. Despite its earnings and guidance actually breezing past expectations, the company's stock had lost 11% by the end of the day, and this filtered through to other tech names in both the US and Europe. Asia is also lower this morning with China in particular delivering some disappointing growth data. Nevertheless, gold and silver continue to climb and on today’s podcast our Head of Technical Analysis, Mensur Pocinci, weighs in with the technical view on whether the rally can continue. He also explains why he believes that most investors are underestimating how weak the US dollar is as we head towards year end. Would you like to support this show? Please leave us a review and star rating on Apple Podcasts, Spotify or wherever you get your podcasts.

Dec 12, 2025 • 12min
Fed sparks equity rally but big tech stumbles
Equities rallied broadly following the Federal Reserve’s post-rate-cut communication, though big tech underperformed amid concerns over valuations and leverage. At the same time, precious and industrial metals regained investor attention as the US dollar weakened and expectations for Chinese stimulus grew. Today, we’re joined by Tim Gagie, Head of FX Advisory in Geneva, who shares his insights on the recent dynamics in currency and metal markets.(00:00) - Introduction: Helen Freer, Product & Investment Content
(00:28) - Markets wrap-up: Roman Canziani, Head of Product & Investment Content
(06:08) - FX and metals update: Tim Gagie, Head of FX/PM PB Geneva
(10:41) - Closing remarks: Helen Freer, Product & Investment Content
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Dec 11, 2025 • 12min
The Fed cuts again
The US Federal Reserve cuts rates to 3.5%–3.75% but three dissenting members signal deepening divisions. It surprises with a new bond buying programme to start in the coming days. US small caps moved to an all-time high, US Treasury yields dipped, and the USD fell. Yet, Oracle’s outlook and additional financing needs are unsettling investors. Nasdaq futures and Asian technology stocks are lower. In Japan, strong demand at a 20-year bond auction eases yield pressures. With a record high in silver and gold close to its recent highs, Carsten Menke, Head of Next Generation Research, delivers our outlook on the two metals following the Fed decision.(00:00) - Introduction: Helen Freer, Product & Investment Content
(00:56) - Markets wrap-up: Mike Rauber, Product & Investment Content
(07:21) - Gold and silver: Carsten Menke, Head of Next Generation Research
(11:05) - Closing remarks: Helen Freer, Product & Investment Content
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Dec 10, 2025 • 12min
It’s Fed day!
We’ll finally get the last monetary policy decision of the year from the US central bank today and a 25 basis point cut is firmly priced in. Almost more important will be the dot plot, economic projections, and comments from Jerome Powell after the main event. Global equity markets have been relatively muted in the last 24 hours aside from some company specific news that you can catch up on in today’s podcast. Strong earnings growth and an accommodative Fed are a strong backdrop going forwards, as detailed by Mathieu Racheter, Head of Equity Strategy Research, who also provides more clarity on his recent downgrade of Industrials to Neutral. He even provides a sneak peek at his preferred sectors for 2026.(00:00) - Introduction: Helen Freer, Product & Investment Content
(00:28) - Markets wrap-up: Bernadette Anderko, Product & Investment Content
(05:52) - Equity market update and industrials downgrade: Mathieu Racheter, Head of Equity Strategy Research
(11:15) - Closing remarks: Helen Freer, Product & Investment Content
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