State Street
Street Signals
Street Signals is a weekly podcast packed with insights about the latest developments in financial markets from State Street Markets. Leveraging new tools, proprietary data and deep expertise, the Markets research team delivers highly valued market analysis on a daily basis to the world’s leading institutional investors. Join Street Signals' host, Tim Graf, State Street’s Head of Macro Strategy for EMEA, as he discusses the most important matters moving markets with guests from State Street and industrywide.
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State Street
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Latest episode
Jul 9, 2026
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Episodes
Global Competition and Its Trade Offs with Elliot Hentov 13.11.2025 42:27
This week, we dive into the nuanced world of macroeconomics and geopolitics. Elliot Hentov, Chief Macro Policy Strategist at State Street Investment Management , joins us to explore the state of deglobalization and the current status of geo-strategic competition in trade, technology, energy production and capital allocation. As we navigate the shocks of recent years and move towards a new equilibr...
Growth Beyond the AI Trade: Where Next? 06.11.2025 31:12
Q3 earnings look like a prelude to a Santa rally, capping off another strong year for stocks. Sticking with a holiday theme, we can give thanks later this month for the outsized contribution of tech stocks to investor returns. But the AI narrative driving stocks in recent years is by now well understood and valuations look stretched. This week, we spend much of our time with Marija Veitmane, Head...
The US Dollar Downtrend: Dawn or Denouement? 30.10.2025 29:40
A stand-out macro trend of 2025, the weakness of the US dollar remains a focal point for a market that is still heavily short. Is the consensus risk ripe for a surprise or are further headwinds in store for the world's most widely traded currency? And how might macroeconomic developments in Japan, Europe and the UK add to or detract from the appeal for dollars? This week, we discuss these factors...
Convexity, Resilience and Building Better Brakes with David Dredge 23.10.2025 1:00:27
Investors tend to underestimate the probability of tail risk events and assume market correlations will be stable. These are well-understood yet persistent blind spots that damage long-term portfolio performance. This week, we talk to David Dredge, CIO of Convex Strategies , as he shares his experiences and perspectives on the importance of overcoming these biases and incorporating convexity expos...
Fundamentals Over FOMO: Value Investing in the Age of AI 16.10.2025 53:55
Growth stocks are driving returns and economic dynamism, but also sparking discussions of whether we sit in bubble territory. Our guest this week, Matt Smith, portfolio manager at QSM Asset Management , a long/short hedge fund with a value focus, provides a timely reminder of how a consistent, fundamental-oriented approach can still offer compelling risk-adjusted returns. We also walk throug...
Shutdown Economics 09.10.2025 20:55
A shutdown of the US government raises myriad questions, particularly what economic impacts might be felt in the near-term and the bigger picture puzzle of how to assess the state of the economy when public data from government statistical agencies is delayed or unavailable. This week, we take a deep dive on those questions, with a focus on the September US CPI release as a test case for how to th...
Constructing the Macro Mosaic with Mark Dow 02.10.2025 54:35
Drawing on decades of experience as a policymaker, investor and trader, Mark Dow joins us this week, as we thread the currents driving the global macroeconomy together into a cohesive whole. From tariffs, inflation, US labor supply issues and Fed independence, to gold, the dollar, debt and deficits, with a side trip to Argentina in between, few stones are left unturned in this macro masterclass. S...
Do You Trust the Data? 25.09.2025 26:40
Data drives decisions big and small, but a steady and worrying trend of deteriorating quality in public economic data adds an under-appreciated complexity to the choices made by central bankers and finance ministry officials. Simona Mocuta, chief economist at State Street Investment Management , joins us to discuss how and why this problem has become so acute in recent years, how private data sour...
How Stretched Are Stocks? 18.09.2025 31:40
Our title is the most-often asked question of recent weeks, with equity markets making new all-time highs and inflows continuing, despite an overwhelmingly consensus belief that they are also overvalued. However, this seeming paradox can persist, as Dan Gerard, senior multi-asset strategist for State Street Markets , highlights. We delve into the earnings power of the companies driving equity mark...
Gilt Trip: Budgets, UK Politics and the Path of Populism 11.09.2025 46:32
The British pound and gilts already face heavy scrutiny from markets, ahead of what could be a politically defining budget process for the UK Labour Party later this Autumn. As our guest this week details, a politically possible outcome that also keeps bond markets happy looks very difficult to achieve, potentially setting up for a period of volatility for UK assets and sterling. Helen Thomas, CEO...
No More Fear Left for Fall? 04.09.2025 25:35
Summer is giving way to autumn and risk markets see few signs of a fall. Its not for lack of potential threats. Questions of Fed independence swirl and the US economy offers in equal parts the potential to either slow sharply or re-accelerate and threaten hopes for easier policy. The path of inflation is still an open question. Emerging threats to fiscal and political stability in Europe and the U...
Jackson Hole and Beyond: Labor Pains for the Fed 21.08.2025 28:09
The investing world awaits the message from the Federal Reserve's Jackson Hole Symposium this weekend. As an event, historically it can often disappoint those looking for answers. Expectations for clear guidance on near-term Fed policy seem low this year. Chairman Jay Powell regularly reminds markets (and politicians) that the two elements of the central banks mandate are now in conflict. Trade ta...
The Buck Stops Where? FX Risk-Proofing for the Long Term 14.08.2025 37:58
Currency markets can be a lot like equity markets in that over or under-valuations can stay stretched for longer than one might think possible, before mean reversion inevitably kicks in. Maintaining an effective FX process for the long-term requires special attention to these questions of fair value, while also keeping an eye on the day-to-day headlines and short-term price dislocations that offer...
Where Next on Inflation's Puzzling Path? 07.08.2025 24:48
Just when inflation was within striking distance of the Federal Reserves monetary policy target of 2%, allowing them to begin cutting rates last year, tariffs as a forceful policy choice of the US administration. Higher import duties have disrupted plans to ease rates and extend the soft landing of the US economy further. Tariffs also now appear to have introduced high uncertainty in the US labor...
The Summer 2025 Market Watchlist 31.07.2025 17:49
Street Signals has had its mini-hiatus and is now back for most of the rest of the summer. This week, host Tim Graf walks through the big questions hanging over markets, some of which will need to be considered in the coming weeks, before the flip flops are put back in the closet and trading desks are back to fully staffed. We ponder what's next for equity markets, whether we'll actually start to...
Marvin Barth: The Framework of a Second American Century 17.07.2025 58:08
The period following the Second World War is often referred to as the American Century, when the rise of the United States to global hegemon accelerated and solidified. Those who take an interest in the global political economy are starting to wonder if that era is coming to a close. But the volatility of US policy in recent years, as much as it has given rise to questions over whether this period...
The Big Beautiful Podcast On Tax Cuts and Tariffs 10.07.2025 27:06
The calm after the storm of April's volatility has been maintained, despite a massive fiscal expansion passing through Congress and being signed by the President, and the end of the deferral period for most of the tariffs initially announced at the start of Q2. As we await the economic impacts of the One Big Beautiful Bill and the onset of significantly higher tariffs on most of the US' trading pa...
The Temperature Rises, Markets Keep Their Cool 26.06.2025 29:51
In this 100th episode of Street Signals, a theme ever-present throughout its two-year history comes to the fore once again: the ability of financial markets to come to grips with and move past seemingly implacable uncertainty. Q2 2025 alone provided what felt like a decade's worth of seismic and (theoretically) negative shocks to sentiment, yet equity markets have recovered quickly and are poised...
Yuan Direction: Asian FX, Oil and the US Rate Outlook 19.06.2025 31:44
Markets are still grappling with global trade and fiscal policies in flux and we were reminded this week that geopolitical risk is never out of the frame for too long. The broadening of hostilities in Israel and Iran necessarily extends the vigilance of policymakers for first and second order impacts on their economies, carrying with it potential implications for currency and interest rate markets...
Asset Allocation In the Age of Fragmentation 12.06.2025 34:15
Coming to you from our London Research Retreat, this week's episode of Street Signals explores the ongoing fragmentation in the global political economy and its implications for asset managers and asset owners. In a panel discussion with host Tim Graf, guests Elliot Hentov, head of macro policy research at State Street Global Advisors, and Ramu Thiagarajan, head of Thought Leadership at State Stre...
US Equities: Complacently Crowded or Suddenly Safe? 05.06.2025 28:48
Quantified measures of US trade and economic policy uncertainty are no longer at all-time highs, yet the global growth outlook for the rest of 2025 can still only be judged through a glass darkly. Indigestion of expanded supply in global fixed income markets similarly clouds the appeal of risky assets. Which makes the resilience of equity markets, and particularly the reversal in US stocks b...
Craig Fuller: Tariffs and Twists in Global Supply Chains 29.05.2025 52:09
The near-constant fluctuation of tariff rates and their implementation dates has rendered economic forecasting an exercise in futility, at both the macro and micro level. But when supply chain disruptions loom, it’s best to hear from Craig Fuller, CEO and founder of FreightWaves , a provider of near real-time data and analysis on all phases of delivery in the global goods economy. From conta...
Gold Rush 2.0: Putting the Pedal to the Metal 22.05.2025 34:41
Robin Tsui, APAC Gold Strategist at State Street Global Advisors , joins the podcast to break down what’s driving the surge in demand for gold over the past three years. From inflation fears to geopolitical risk, gold has reclaimed its shine as both a safe haven and strategic asset. Robin explains how central bank buying, ETF flows, and shifting investor sentiment are shaping the gold market...
Dollar Discussions In The Desert 15.05.2025 20:48
This week, we take Street Signals on the road. As we travel through four countries in the Middle East, Dale Haver, Global Head of FX Sales at State Street Markets, joins us for a quick but expansive chat on FX markets past and present. We talk through the most impactful evolutions in the client experience over a long career in currencies, as well as what's on the horizon. Current markets are never...
No Country For Old Macro Men 08.05.2025 26:49
After an episode of extreme, headline-driven volatility in April, financial markets have shifted to docility in May. Position risks in equity and FX markets are now much reduced and, absent further clarity on US trade and fiscal policies, a wait-and-see approach is the order of the day. Fatigue has set in and, as our guest this week, Lee Ferridge, Head of Macro Strategy for the Americas at State S...
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