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The Inflation Whisperer: Taming Volatility, Timing Inflation

In this episode of "Top of the Swaps," Andrew Madigan, Head of Client Investment Strategy at Atlantic House, and Mark Greenwood, Fund Manager of Dynamic Duration and Balanced Return Funds, delve into the complexities of inflation, interest rates, and market volatility. As geopolitical tensions and economic uncertainties continue to create a volatile environment, they explore the implications for the VIX, central bank policies, and inflation swaps.


The discussion highlights the persistence of uncertainty in the financial markets, driven by factors like the ongoing Ukraine-Russia conflict and unexpected economic indicators. With insights into derivative markets, they also examine how tariffs and inflation expectations are influencing investment strategies, as well as the potential opportunities and risks in the current landscape.


Join Andrew and Mark as they provide expert analysis on making informed decisions amidst the market chaos, leveraging volatility to uncover potential returns and manage risk effectively.







Follow the Top of the Swaps podcast series on Podbean, Spotify and Apple Podcasts, All episodes can be found at: https://topoftheswaps.podbean.com/


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