Skip to content
TrackPodcasts
businessMar 10, 20250:20pending

Markets Weekly podcast (10 March 2025): Equity and bond correlation

About this episode

This week, Nikola Vasiljevic, Head of Global Asset Allocation, discusses the correlation between equity and bond returns and how changing economic conditions can influence the relationship. Host, Julien Lafargue also covers tariffs, US jobs and EU defence spending.

Get every episode summarized

Each time Barclays Private Bank Podcasts 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 episodes

Free 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.

Markets Weekly podcast (10 March 2025): Equity and bond correlation

Barclays Private Bank Podcasts

0:00
0:20

More episodes

More from Barclays Private Bank Podcasts

View all episodes →