Author Archives: macromon

One Unintended Consequence of QE

Over the holidays we were reviewing previous posts on QE and financial repression.   Though posted almost 4 years ago, we thought this is very appropriate and timely to today’s macro climate. One danger of the lack of price discovery [in … Continue reading

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US Sector ETF Performance – January 6

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Daily Risk Monitor – January 6

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Martin Wolf on global debt overhang

FT chief economics commentator Martin Wolf discusses global debt sustainability with Gavyn Davies, chairman of Fulcrum Asset Management. They point out the improving situation in the US and UK, but are concerned about the eurozone periphery and China. For more … Continue reading

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US Sector ETF Performance – January 5

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Daily Risk Monitor – January 5

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‘Grexit’ reloaded? – Euronews

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US Sector ETF Performance – January 2

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Daily Risk Monitor – January 2

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2014 U.S. Sector ETF Performance

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