Macan Nia, Kevin Headland

Investments Unplugged

An insightful and lively podcast that gives you access to ideas and insight from a range of market experts from Manulife Investment Management.(Intended for Advisor Use Only)

Autor

Macan Nia, Kevin Headland

Kategorie

Business

Podcast-Website

www.manulifeim.com

Neueste Folge

25. Jun 2026

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Investing, happily, ever after—is your portfolio set for a fairytale ending? (Part 2) 02.07.2024

In part two of our happily, ever after series of Investments Unplugged, we continue to compare timeless tales to the current markets. In this conversation, we provide our updated outlook on bonds and discuss the outcome of global central banks starting their easing cycles. Tune into our new episode to learn more.

Episode 95: Investing, happily, ever after—is your portfolio set for a fairytale ending? 14.06.2024

What comes to mind when we think of fairytales? Fairytales are a means to teach children about opportunities, risks, and how to navigate a complex world. While they usually end happily ever after, the path to get there is usually riddled with challenges. In part one of this two-part series of Investments Unplugged, we look at the economy and equity markets through a fairytale lens. We pay particul...

Episode 94: Explore the alternative route to your financial destination—Market Insights Monthly Special Edition 31.05.2024

Strengthen your defence and sharpen your offence with Manulife liquid alternatives. Join us as we unveil our two new alternative fixed-income solutions. Hear from the lead portfolio managers of these strategies Chris Chapman and Roshan Thiru as they outline their investment approaches and delve into the key differentiators that set their teams apart. Tune into our new episode to learn more.

Episode 93: Investing in real assets —Market Insights Monthly Special Edition 02.05.2024

Sticky inflation, economic uncertainty, and geopolitical risks. Now isn’t exactly the time to let your guard down. Tune in to our new podcast episode with special guests Senior Portfolio Manager Eric Menzer, and Senior Managing Director Alex Catterick as they chat about private markets, alternative investments, and the importance of including real assets in your portfolios. Don’t miss out on this...

Episode 92: Q&A - let's talk about recessions 15.04.2024

Recession is a word that gets thrown around often. But what exactly is a recession and how does it impact investors? Join us for an in-depth Q&A session as we weigh in on a topic that’s become front and center for investors. Find out what you can expect in a recession and why you shouldn’t wait for one to prepare your portfolio. For all this and more, tune into our new podcast episode.

Episode 91: Dividends in a different light—Market Insights Monthly Special Edition 19.03.2024

Dividend investing is evolving, and so should your approach. Tune in to our new podcast episode to learn about the unique set of challenges faced by dividend investors in today’s environment. Hear from our very own Senior Portfolio Manager Chris Hensen as he weighs in on the shifting landscape and explores the dividend opportunity set through a different lens. Don’t miss out on this special editio...

Episode 90: Darkest before dawn—are investors nearing an inflection point? 28.02.2024

Make no mistake about it, the economy is dealing with its fair share of challenges. But are there bright spots ahead? In this podcast episode, we sit down with our Global Chief Economist and Strategist Frances Donald, as she weighs in on the macro forces at play in 2024. Will global growth decline? Will central banks respond with rate cuts? For all this and more, tune in to Investments Unplugged.

Episode 89: A look ahead to 2024—addressing your unanswered questions (part 2) 24.01.2024

Episode 89: A look ahead to 2024—addressing your unanswered questions (part 2) After patiently waiting for many months, signs that our fixed income outlook may be coming to fruition emerged at the end of last year. But what can we expect in 2024? In part 2 of our podcast episode, we focus on answering your frequently asked questions on fixed income. Are inflation risks behind us? Where are yields...

Episode 89: A look ahead to 2024—addressing your unanswered questions 15.01.2024

With 2024 in full swing, what’s our take on equities and bonds? Rather than sharing our views in our usual way, we’ve adopted a Q&A format to respond to some of the more pressing questions we’ve been getting on the road. Where’s the economy headed? What are some of the main challenges for markets in the new year? To get your questions answered, tune in to our new podcast episode.

Episode 88: Watching our bond scenario unfold: ready for phase 2? 01.12.2023

Consumer exhaustion is kicking in, yields have come down, and the economy is beginning to show signs of slowing. Since outlining our three-themed bonds outlook, we’re finally getting an indication that it’s coming to fruition. As we get ready to transition to phase 2 (“duration is your friend”), investors could embrace longer duration on expectations that yields will fall further and the economy w...

Episode 87: Under the microscope: looking closely at a potential recession 10.10.2023

Episode 87: Under the microscope: looking closely at a potential recession Recession—it’s a word that continues to dominate the minds of investors and economic scientists alike. We hear about it so often, it sometimes seems like our expectations and concerns magnify. Yet, there could be important information that some people don’t see. Let’s focus the lens a little and scrutinize some of the finan...

Episode 86 - Back to school—studying three investment themes 07.09.2023

School has started once again. And while students return to their classrooms and books, investors’ minds turn to their portfolios, the economy, and the markets. But there’s so much to learn when it comes to managing your investments. So, what subjects have currently reached the forefront for the Capital Markets Strategy Team? Three key investment themes are at the top of the class right now: • Pre...

Episode 85: In the spotlight—A.I. and interest rates 20.06.2023

Many topics waltz across the minds of investors. They twirl through our thoughts and sometimes step on our toes. Two things have been leading us lately: the rise of artificial intelligence (A.I.) and its role in the markets, and the recent surprise Bank of Canada interest rate hike. We won’t dance around the subjects—there are relevant inquiries that we need to address: • Has A.I. played a role in...

Episode 84: Recurring tides—market questions that regularly roll in 31.05.2023

Every so often, we find ourselves swimming in a sea of similar-sounding questions about what’s affecting or going to affect the markets. These inquiries come around on a regular basis, but do they hold any water when it comes to our investments? We brave the waves, look at some of these recurring questions, and ask, “As investors, do we care about this?” • U.S. debt ceiling discussions • Sell in M...

Episode 83: Uncertainty shock—looking at bank failures 04.04.2023

Lightning struck some U.S. and European banks recently, and investors may be feeling like the jolt is still coursing through them. Frances Donald, Global Chief Economist and Strategist at Manulife Investment Management, joins the Capital Markets Strategy team to delve into current bank problems’ effects on the investment world and spark discussion on related topics: • What’s been the historical re...

Episode 82: A.I.—far-reaching or far out? 23.03.2023

Star Trek, 2001: A Space Odyssey, The Terminator, Blade Runner, The Matrix—artificial intelligence (A.I.) has been a recurring science fiction theme for decades. But in fact, A.I. has come to the forefront of many discussions around scientific advances. Robotics, deep-learning models, smart cars, ChatGPT, and so on—where is this technology headed? We look at some of the applications of A.I.: • car...

Episode 81: All that glisters is not gold—why bonds may be better than GICs 08.02.2023

To bond or not to bond? That is the question. Whether ‘tis nobler in the mind to invest in bonds or guaranteed interest certificates (GICs) preoccupies many investors. Where would William Shakespeare put his money and why? Who knows? But we have reasons for believing bonds may be the better option for today’s investors: • Looking back over past performance of Canadian bonds, they usually outperfor...

Episode 80: 2023 market outlook—what the signals are telling us 18.01.2023

A new year has arrived. Many investors are breathing a collective sigh of relief that 2022 is done and are looking for indicators of better investment opportunities and returns in 2023. Financial needles point toward shifting economic conditions, but what types of changes will we see? • What are we looking at to help determine what the coming year may bring? • Will a recession happen? How bad coul...

Episode 79: Out of the hospital—three opportunities for fixed-income investors 03.01.2023

Cold and flu season struck and early and hard in 2022. It has also been a somewhat sick time in the markets this past year. Could 2023 give investors a chance to start easing the sniffles, coughs, aches, and pains of the volatility we’ve experienced? Let’s use our stethoscopes and thermometers to examine three phases of potential opportunity in bonds moving forward: • the sweet spot—bond yields •...

Episode 78: Lessons learned—a conversation with Dan Janis 06.12.2022

This special episode features a discussion with our soon-retiring colleague and friend, Dan Janis, Co-Head of Global Multi-Sector Fixed Income at Manulife Investment Management. We get insights into Danny’s life, career, and team, and what he’s discovered about being a good advisor and sound money manager. • What has Dan learned about managing investments during his professional career? • Is there...

Episode 77: Eyeing the bond markets 09.11.2022

Episode 77: Eyeing the bond markets Unusually painful performance in fixed-income investments this past year seems to be blurring investors’ vision. We see potential opportunity in current and future economic conditions. Is fixed income worth a second look? Let’s turn our sight to some financial factors related to bonds: • how a recession can affect the fixed-income market • where we are in the cu...

Episode 76: Back to (still in) investment school 22.09.2022

For children, school has begun again. For investors, school is never really out. What subjects should you pay attention to? Will the bell ring to end to the unexpected market volatility of 2022? Our resident Capital Markets Strategy instructors have written some relevant topics on their chalkboard. They cover: • rising inflation and interest rates • economic slowdown • earnings being priced into t...

Episode 75: On the road again, and answering some top-of-mind questions 09.08.2022

With in-person interactions once again becoming the norm, this summer, the Capital Markets Strategy team has been criss-crossing the country, meeting with advisors and clients, and speaking at events. We’re truly enjoying the face-to-face interaction and responding to inquiries from people we meet. Wherever we go, some common questions are popping up—questions like: • Has weak market performance a...

Episode 74: Bears come in two sizes: big bears and baby bears 06.07.2022

Bear markets aren’t new—15 have happened since 1950—and some have been worse than others. What’s happening with the current economy and market volatility, and when will it change? Previous selloffs and downturns may hold a clue to what we can expect for the rest of 2022. We take a look at: • what we can learn from past bear markets • the chance of a recession • effects of inflation and central ban...

Episode 73: The bumpy bond road 24.06.2022

Fixed-income markets have been going down a rocky road so far in 2022. Are we in for a continued rough ride? Or will the dirt path become a smoother highway for bonds in the near future? Roshan Thiru, Head of Canadian Fixed Income at Manulife Investment Management, joins the Capital Markets Strategy team to discuss: • bond activity and yields • what to look for with fixed-income investments • reco...

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