Marvin Barth

Thematic Edge Podcast

Marvin Barth of discusses the thematic investing and the Themes driving markets with Mark Farrington of the Global Watchtower, with and without guests as the occasion demands. thematicmarkets.substack.com

Koniecznie odwiedź stronę podcastu i wesprzyj twórcę: thematicmarkets.substack.com

Autor

Marvin Barth

Kategoria

Business

Ostatni odcinek

8 lip 2026

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Odcinki

Episode 020: Sintra, forward guidance & the dollar 08.07.2026

In episode 020 of Thematic Edge , Marvin Barth and Mark Farrington consider the broader implications of the European Central Bank’s retreat in Sintra, Portugal where there seemed to be shift in global central bank philosophy led by new Fed Chairman Kevin Warsh and his drive to end the practice of forward guidance. Marvin and Mark discuss what the end of forward guidance means for near-term Fed pol...

Episode 019: "Macro Crypto" with Arthur Hayes 24.06.2026

In this episode of Thematic Edge, Marvin Barth and Mark Farrington sit down with Arthur Hayes to explore one of the most important questions in crypto today: what ultimately gives Bitcoin value? While all three agree that liquidity, monetary policy and sovereign incentives shape markets, they discuss their differences in evaluating fundamental value. Arthur Hayes is one of the most influential fig...

Episode 018: Fed regime change 10.06.2026

In this episode of Thematic Edge, Marvin Barth and Mark Farrington examine whether central banks are finally being forced to confront a changing inflation regime. They argue that policymakers have been too willing to look through supply shocks, too focused on protecting growth, and too slow to respond to rising inflation expectations. The discussion centers on the arrival of Fed Chairman Kevin War...

Episode 017: "Mark"ing to market: Iran & China views 27.05.2026

In this episode of Thematic Edge , Marvin and Mark examine the evolving Iran conflict, the shift in US strategic thinking, and the emerging logic of trying to “make business not war” amid Global bifurcation . The discussion explores why the expected energy shock hasn’t been as severe as projected, how the US has pivoted toward a maritime containment strategy, and why the US has shifted its focus t...

Episode 016: Fed independence 13.05.2026

In this special episode of Thematic Edge, recorded around the Hoover Institution Monetary Policy Conference at Stanford University, Marvin Barth explores why the greatest risks to Federal Reserve independence may be the Fed’s own policy errors, institutional overconfidence, and expanding mandate. Through conversations with leading economists, former policymakers, and Fed officials, the discussion...

Episode 015: US & Fed outlook with Danny Dayan 29.04.2026

In this episode of Thematic Edge , Marvin Barth and Mark Farrington are joined by Danny Dayen for a wide ranging debate on inflation, monetary policy, and whether the Federal Reserve is now behind the curve. The discussion begins from an unusual point of agreement. Both Marvin and Danny argue the Fed has committed a sequence of policy errors that risks overheating the US economy and reigniting inf...

Episode 014: Iran blockade 15.04.2026

A detailed and at times sharply contested discussion on the strategic direction of the Iran conflict following the collapse of US-Iran peace talks and what it means for markets (recorded at noon London time on 13 April). In this episode, Mark and I analyse the shift from an historically intense air campaign to a US-led maritime interdiction strategy. While we both agree that the US is attempting a...

Episode 013: Iran strikes credit with Zoso Davies 01.04.2026

This week Mark Farrington and I are joined by Zoso Davies , formerly Managing Director in European Investment Grade Credit Research at Barclays, where he spent over 15 years analysing major credit cycles including the European sovereign crisis, Brexit, and COVID. Now at a leading London based hedge fund and author of Macro Credit Thinking , Zoso brings a rare combination of top down macro perspect...

Episode 012: Doomberg - Strategic implications of the Iran war 19.03.2026

A sharp and wide-ranging discussion on the strategic consequences of the Iran war. In this episode, Doomberg joins Marvin Barth and Mark Farrington to unpack why markets have remained surprisingly calm despite escalating violence in the Middle East, what may be coming next, and what the long-term, strategic consequences of this conflict are likely to be. The conversation digs deep into the structu...

Episode 011: Iran implications with Erik @YWR 04.03.2026

How could the Iran conflict reshape global markets, China risk premiums and emerging market capital flows? Marvin Barth and Erik @YWR discuss geopolitics, uncertainty and the investment implications of a changing global order. In this episode, they explore whether a US-aligned Middle East could reduce geopolitical risk, why emerging markets may benefit from shifting capital flows, and whether Chin...

Episode 010: Forest fire insurance 18.02.2026

Forest Fire Insurance explores how risk truly builds in financial systems and why volatility is not the enemy it is often portrayed to be. Marvin Barth and Mark Farrington are joined by David Dredge, CIO of Convex Strategies, to unpack the idea of self organised criticality in markets using the forest fire analogy. The discussion ranges from leverage, correlation and contagion to the failures of S...

Episode 009: Trump 2.1 shock 04.02.2026

Unfortunately, the audio for this episode was terrible, so in addition to the time-stamped table of contents, a full, edited transcript is included below. In this episode, Marvin Barth and Mark Farrington reflect on a sequence of events that together signal a decisive shift in US strategy, from Venezuela to Greenland, and from emerging markets to monetary policy. They examine how recent US actions...

Episode 008: Nigeria in focus 21.01.2026

Nigeria is the largest economy and population in Africa, is abundant in natural resources, is an emergent cultural and technology center, and increasingly a regional manufacturing hub. Senator Ede Dafinone of Delta Central State (the main oil-producing region) explains the reforms of President Tinubu, the vast potential opportunities they may release, and how this lynchpin of Africa can navigate s...

Making sense of Venezuela with David Kilcullen 07.01.2026

The Thematic Edge opens 2026 with its first guest, David Kilcullen , retired Australian Army colonel, intellectual architect of both the “Surge” in Iraq and Afghanistan, and the world’s foremost authority on counterinsurgency. Colonel Kilcullen helps us make sense of what happened in Venezuela on 5 January and what to expect going forward. The discussion is structured around three questions that m...

Episode 006: Fed reform & US National Security Strategy 17.12.2025

After a brief hiatus, the Thematic Edge is back! In the first half of this week’s episode, Mark queries me on Fed reform, a consistent theme of senior Trump officials that hasn’t received sufficient attention given its immense implications: what do they want to do and what can they do without Congress. In the second half we switch roles as I pull from Mark the real international relations implicat...

Episode 005: Forward guidance’s end 05.11.2025

A very lively discussion this week that goes on a bit longer than usual as Mark & I get into a disagreement over the implications of Chinese gold-backed stablecoins. But before the fireworks, Mark & I review what President Trump achieved at ASEAN and APEC, how his earlier successes set him up for it, and what it means for Global bifurcation ; then we fire both barrels at the failure that has been...

Episode 004: Officialdom grudgingly accepts stronger data 22.10.2025

This week, Mark Farrington and I discuss what I learned from the semiannual World Bank-IMF meetings last week in Washington. Where do both policymakers’ and markets’ center of gravity lie? 0:00 Introduction: Impressions of World Bank-IMF meetings 2:25 IMF’s forecasts and embedded biases 4:08 Market participants’ views 6:13 Benchmarked managers more consensus than absolute-return managers 9:14 Stro...

Episode 003: Good & bad government interventions 08.10.2025

This week Mark and I discuss how “we’re all state capitalists now” but that both new Japanese Prime Minister Takaichi and US President Trump make an error when they try to include central banks in that effort. We discuss what markets are missing — inflation — and how that’s likely to be a key risk theme for 2026, and we touch upon whether the current equity boom is Dot.com 2.0, or something differ...

Episode 002: The Fed fumbles, BoJ pauses, & "dollar gamma" awaits 24.09.2025

Mark and I covered a lot in this episode. We start with a quick recap of the Bank of Japan meeting Friday and the Federal Reserve meeting two days earlier. But we spend most of our time discussing a new piece by Mark, Dollar upside gamma: Systemic pressures , that mostly aligns with my long-standing views but raises both some critical differences and questions about the future. 0:00 Intro 1:18 The...

Episode 001: Introducing the Thematic Edge 10.09.2025

Mark Farrington of the Global Watchtower and I have kicked off our own podcast on the Themes driving markets. Mark was practicing thematic investing as a portfolio manager long before it became a “thing” and a thematic approach to analysis of the global political economy has been my modus operandi for a quarter century. Mark and I have been debating markets for over twenty years and thought we’d b...

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