Episode 32: The Markets vs. the Economy – Explaining the Disconnect

Published on25 FEB 2016

25 FEB 2016 - Jan Hatzius, Goldman Sachs’ chief economist, and Jeff Currie, global head of Commodities Research, explain why volatility in the oil, equity and credit markets could be sending false signals about the underlying strength of the broader economy.

 

This podcast was recorded on February 23, 2016.
 

All price references and market forecasts correspond to the date of this recording.

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