
Beyond the Headlines: Oil, Inflation and Market Risk
About this episode
As geopolitical tensions in the Middle East raise the prospect of a more prolonged energy shock, how should investors think about the implications for inflation, consumer behavior, and markets? Global Head of Commodity Strategy Helima Croft, Chief Economist Frances Donald, and Head of U.S. Equity Strategy Lori Calvasina discuss what a disruption in oil supply could mean for the macro outlook — and why the longer‑term picture may be more resilient than headlines suggest.
Get every episode summarized
Each time Powering Sustainable Ideas publishes, we email you a written briefing from the transcript — the topics, who appeared, and any specific claims, with the ad reads skipped.
Email me new episodesFree for 3 shows. No card needed.
Hosts & guests
No transcript yet
This episode has not been transcribed. Request it and it moves to the front of the queue.
More episodes
More from Powering Sustainable Ideas

How sustainable finance is evolving to reflect new global realities
Powering Sustainable Ideas

Every Electron Counts: Opportunities in an Energy-Hungry Future
Powering Sustainable Ideas

How linking itself to 3 global megatrends paid off for IMI
Powering Sustainable Ideas

Mainstream buyers reshape the carbon removal market
Powering Sustainable Ideas