PineBridge Investments

PineBridge Investments Insights Podcast

Business EN ↓ 37 episodes

PineBridge Investments’ global economists and investment experts cut through the noise to provide insights on the rapidly changing forces moving economies and markets.

Author

PineBridge Investments

Category

Business

Podcast website

www.pinebridge.com

Latest episode

Mar 11, 2026

Where to listen?

Podcasts in the app Replaio Radio Coming soon

Podcasts are coming to the app soon. Install now and be the first to see a whole new take on podcasts

Get it on Google Play Install for free Android 5M+ downloads · 4.8 rating iOS soon

Episodes

Japan’s Reflation Experiment: BoJ Hikes, Weak Technicals, and Yen Upside 11.03.2026

We explore Japan’s inflation regime shift, JGB volatility and BoJ normalisation — plus what it means for the yen, the dollar and global rates.

From Bubble Talk to Sequencing: 2025 Takeaways for 2026 09.01.2026

We revisit 2025’s defining themes, and discuss why ‘sequencing’ - timing entries and exits around range bound rate moves and curve shape rather than level - matters as markets stabilize and growth re-accelerates. 

AI, Inflation, and the Debasement Trade - Real Estate in a Fragmented World 09.12.2025

Marc Mogull and Hani Redha dive into macro trends, technological change, inflation’s “higher resting heart rate,” and the growing importance of asset scarcity and trust. 

The Bond Market That Didn’t Bark: Uncovering Hidden Market Signals 19.11.2025

We discuss growth and inflation outlooks, labor market risks, the Fed’s evolving policy stance, and explain why sometimes the absence of market movement is the biggest clue of all.

Front-Loaded Fed: Why Fewer Cuts and a Stronger Dollar Are in Sight 24.10.2025

We discuss the improving US growth picture heading into 2026, the implications of stabilizing growth, inflation, and monetary policy - and why the market may be underestimating the impact of fiscal tailwinds like tax refunds.

Sliding Doors: The Fed’s Rate Cut Dilemma and the 10-Year Tug of War 26.09.2025

We explore why monetary policy is at a crossroads, and what it means for yields, credibility, and curve dynamics.

Rates, Revisions, and the Dollar: Navigating the Fed’s Soft Landing 02.09.2025

From data reliability and Fed policy to currency dynamics and rate forecasts, this episode explores how a soft-landing scenario and evolving fiscal conditions shape our outlook for rates and the US dollar. 

Rates, Risk, and Resilience: Fed Strategy, Market Reactions, and the Politics of Monetary Policy 21.07.2025

We explore the outlook for rates and FX amid a soft landing scenario—and dive into the rising political pressure on the Fed. Could central bank independence be at risk?

EM Debt Outlook: From East to West 03.07.2025

We discuss the impact of US tariffs, regional corporate sentiment, and the macroeconomic developments shaping the second half of the year.

From Policy Fog to Yield Clarity: A Mid-Year Market Check-In 16.06.2025

We discuss market volatility, policy unpredictability, and why US Treasury yields are drawing investor interest. 

Beyond Peak Uncertainty: Rethinking the US Exceptionalism 22.05.2025

We discuss why, despite volatility, the narrative of US decline may be premature, and the factors that could drive a growth rebound.

Equities Podcast: Positioning in Healthcare Amid Tariff Turmoil 24.04.2025

In our latest equity podcast, we discuss the impact of tariffs and other policy headwinds on the healthcare sector – and why seeking out companies that are better-positioned than the market realizes could help investors navigate the related challenges.

The Fork in the Road US Exceptionalism, Fed Policy and the Dollar’s Next Move 17.04.2025

We unpack the macro pressures reshaping the landscape at a critical inflection point in the US economic story.

A US Growth Scare, the Bund Yield Forecast, and the Tariffs’ Inflation Impact 24.03.2025

Amid a US slowdown that has been sharper than expected, we discuss the resulting US growth scare along with bund yield forecasts, currency implications, and the economic outlook for Europe and the US.

Podcast: Riding Out Equity Market Volatility in a New Policy Regime 18.03.2025

With equity markets whipsawing amid escalating trade wars and geopolitical tensions, how can investors mitigate risk and build value? Our podcast discusses how an active approach focused on a company’s lifecycle (rather than sector) may help. 

Tariff Wars Credit Opportunities Amidst the Stagflationary Shock 14.03.2025

We discuss recent developments in the tariff wars and how their impact makes credit selection critical.

AI, Productivity, and the Long-term Ramifications for King Dollar. 26.02.2025

We're currently in a productivity “Super-Cycle,” with the US leading due to strategic investments in technology and workforce re-skilling. A stronger US dollar is likely, given the US’s productivity leadership.

Navigating Rates, Inflation, and FX: Uncertainty by Design 03.02.2025

We discuss reasons behind a shift toward shorter-term investment horizons, the potential for higher yields in the near term, and our base case scenario of a soft landing.

Equity Podcast: Tech, Trade, and Tariffs in 2025 15.01.2025

PineBridge Investments’ Rob Hinchliffe, Equities Portfolio Manager and Head of Global Sector Cluster Research, and John Song, Equities Research Analyst focused on the tech sector, discuss how technology stocks may be affected by President Trump’s trade and tariff policies, AI investment, and other trends in 2025 – and the benefit of assessing companies according to their lifecycle stage. Shannan S...

Navigating Macro Trends Impacting the Future of Commercial Real Estate 21.11.2024

Taken from PineBridge Benson Elliot’s 2024 Annual General Meeting, Marc Mogull, PineBridge Benson Elliot’s Chief Investment Officer and Hani Redha, PineBridge Investment’s Multi-Asset Portfolio Manager discuss the macro trends impacting the future of commercial real estate. 

Why EM Bonds Could Address the Challenges Posed by a Lower Yield Environment 22.10.2024

Given the expectations for lower yields across global bond markets, we examine why investors should consider including emerging market bonds within fixed income portfolios.

‘Alternative’ Views: The Case for a Mid-Market Focus and Lessons Learned Along the Way (Part 2) 13.08.2024

A focus on the middle market is a common thread across PineBridge’s alternative strategies. Our seasoned investment specialists across European real estate, private credit, and private equity discuss the distinct opportunities and challenges of this market segment and why niche specialization, deep industry knowledge, and lessons learned from weathering crises can create value and drive outcomes....

The Fed Holds Rates Steady (For Now): What It Means for Credit Markets and Inflation 05.08.2024

We discuss the Fed’s recent decision to hold interest rates steady, key factors to watch going forward, and the broader market implications of this latest development. Recorded on 02 August 2024.

An Insurer’s Guide to Private Credit Investment 02.08.2024

Join leaders from our Global Insurance Solutions and Private Credit teams to hear their outlook for the asset class and approach to tailoring private credit investments, sharing results on fund structure, leverage, rating agencies, and regulatory considerations from the recent PineBridge 2024 Private Credit Survey.

‘Alternative’ Views: Key Themes Driving Valuations Today (Part 1) 02.08.2024

Listen to the PineBridge Investments Insights Podcast podcast in Replaio

Radio and podcasts in one app - free, with no sign-up. Install today and do not miss the launch

Get it on Google Play

Replaio is not a podcast publisher; show names, artwork and audio belong to their authors and are distributed through public RSS feeds.