

Making Sense
J.P. Morgan
“Making Sense,” the podcast channel from J.P. Morgan’s Commercial & Investment Bank, brings you views and analysis from the Investment Banking, Markets and Research businesses. In each episode, experts discuss the latest market outlooks, trends and developments impacting our complex global economy.
Subscribe now for insights that will help you navigate the world we live in.
Subscribe now for insights that will help you navigate the world we live in.
Episodes
Mentioned books

10 snips
Apr 7, 2026 • 16min
Private credit: Performance vs. liquidity
Jake Pollack, Head of North American Credit Trading and Global Credit Financing, gives market color on private credit. He covers investor liquidity in retail vehicles and underlying credit performance. Topics include PIK mechanics, software and services exposure, price discovery around the 2028–2029 maturity wall, marking practices, and potential regulatory scrutiny.

9 snips
Apr 3, 2026 • 8min
March jobs report: Healthy labor market, slower supply, more volatility
Michael Feroli, Chief U.S. Economist at J.P. Morgan, offers sharp macroeconomic perspective on the March jobs report. He discusses payroll rebounds and sector swings. He highlights slowing labor supply and greater payroll volatility. He flags early signs of AI reshaping employment and risks from higher energy prices, plus how the data could influence Fed policy.

Mar 31, 2026 • 30min
EMEA in Conversation | Eyes on Europe
Alison Livesey, Head of UK and Europe Subsidiary Banking at J.P. Morgan, brings expertise in treasury, subsidiary strategy and payments. She discusses Europe's complexity and rapid payments evolution. They cover regulation shaping innovation, instant and programmable payments, treasury automation, fraud controls, and how payments now drive growth and customer loyalty across multiple markets.

Mar 27, 2026 • 15min
Portfolio trading is reshaping credit - here's how
Marcus Imbert, Head of Portfolio Solutions NA at J.P. Morgan, and Gustav Vogel, Head of Portfolio Trading EMEA at J.P. Morgan, bring deep portfolio trading and cross-market expertise. They compare EMEA and US market structures. They describe ETF roles in liquidity and hedging. They discuss thematic and proxy baskets, cross-currency solutions, and how portfolio trading behaved in 2025 volatility.

Mar 24, 2026 • 22min
Why clean tech companies are critical for energy security
James Janoskey, a J.P. Morgan natural resources banker focused on clean tech finance, and Dr. Sarah Kapnick, a climate scientist turned climate advisory lead, discuss rising electricity demand from AI data centers, grid modernization and resilience, a nuclear renaissance including SMRs, and innovations in long‑duration, non‑lithium storage. They also tie energy security to geopolitics and supply‑chain risks.

Mar 20, 2026 • 20min
Exploring the evolving Asian consumer and investor base with Dymon Asia
Sian Goh, Partner and Head of Research and Strategy at Dymon Asia, leads macro and micro research for an Asia-focused multi-strategy fund. She discusses Asia’s diverse markets and supply chain shifts, the rise of Gen Z retail investors and changing flows, AI’s impact on regional tech supply chains, and how local cultural trends shape global consumer tastes.

24 snips
Mar 13, 2026 • 25min
Examining the AI value chain with Horizon Global Partners
Fawaz Chaudhry, CIO of Horizon Global Partners and thematic equity investor, on why value is shifting from software to chips. Short-term winners are semiconductors, foundries and tools as AI infrastructure booms. He also covers inflationary shocks, commodities and precious metals, geographic shifts toward Asia in hardware, and rising defense and vertical supply-stack trends.

8 snips
Mar 11, 2026 • 18min
How are geopolitics and AI trends impacting leveraged finance?
Tarek Hamid, head of North American credit research & strategy who analyzes geopolitics, energy and AI impacts on credit. Kevin Foley, global head of capital markets who runs issuance and market strategy. They discuss how Middle East conflict and oil swings feed into rates and spreads. They explore which industries AI may reshape, market appetite for new supply, and M&A’s role in 2026 issuance.

18 snips
Mar 10, 2026 • 17min
From stalling home prices to new reforms: Will US housing activity pick up?
John Sim, head of Securitized Products Research at J.P. Morgan, brings mortgage-market and housing supply-demand expertise. He walks through recent price slowdowns and regional risks. He breaks down current mortgage and ARM dynamics, how pending bank capital reforms could shave rates, and thresholds that might revive sales. Rental market fatigue and single-family versus multifamily trends also come up.

Mar 6, 2026 • 23min
What lies ahead for Iran and the wider region?
Derek Chollet, head of the JPMorgan Chase Center for Geopolitics and foreign policy expert, outlines the U.S.–Israel military operation against Iran and its strategic timeline. He discusses campaign scope, air-and-naval tactics versus ground invasion, the impact of Iran’s leadership crisis, and short- to medium-term disruptions and regional economic opportunities.


