Morgan Stanley

Thoughts on the Market

Short, thoughtful and regular takes on recent events in the markets from a variety of perspectives and voices within Morgan Stanley.

Author

Morgan Stanley

Category

Business

Podcast website

art19.com

Latest episode

Jul 10, 2026

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Episodes

Michael Zezas: Notes from New Hampshire 12.02.2020

On today's episode: With no shortage of pundits weighing in on the Democratic primaries, it’s easy for investors to lean on assumptions. But Head of Public Policy Research Michael Zezas suggests some caution.

Mike Wilson: Knowing Where to Look 10.02.2020

On today's episode: The recent, relatively small, overall market correction masks more significant shifts between asset classes. Mike Wilson, Chief Investment Officer, on the implications for our understanding of market optimism and future growth. 

Andrew Sheets: Supply Also Matters 07.02.2020

On today's episode, Discussions about financial markets often center on issues of demand. Andrew Sheets takes a look at the supply trends that may impact debt and equity markets globally in 2020.

Michael Zezas: The Limited Lives of Multiple Narratives 05.02.2020

On today's episode, Recent events have added little clarity to the policy choices U.S. voters will face in the November presidential elections, but that won't last forever.

Mike Wilson: The Tug of War for U.S. Equites 04.02.2020

On today's episode, U.S. equities face concerns over global growth—caused by the coronavirus and other catalysts—but plentiful liquidity from the Fed. Thoughts on positioning from Chief Investment Officer Mike Wilson.

Jonathan Garner: What Can SARS Tell Us About the Coronavirus? 31.01.2020

On today's episode, To understand the impact of the Coronavirus on humanity, economics and markets, Chief Asia and Emerging Markets Equity Strategist Jonathan Garner draws parallels with the 2002 SARS outbreak.

Andrew Sheets: Coronavirus Affects the Narrative 30.01.2020

On today's episode, Nations try to address the public health impact of the coronavirus alongside uncertainty about the global outlook for 2020. Perspective from Andrew Sheets, Chief Cross-Asset Strategist.

Andrew Sheets: Are More Countries Saying Deficits Don’t Matter? 29.01.2020

On today's episode, Only a decade ago, market analysts and political observers were saying sovereign deficits were bad. Cross-Asset Strategist Andrew Sheets explains why that view may be changing.

Michael Zezas: Taxation Complicates U.S.-EU Trade 27.01.2020

On today's episode, Although the U.S and China have found a way forward on trade negotiations, a clear path for U.S.-EU trade is getting slightly more complicated.

Andrew Sheets: As 2020 Begins, Investors Get Optimistic 24.01.2020

On today's episode, Skepticism was the prevailing investor attitude for most of 2019, but what a difference a quarter can make. So what changed? Chief Cross-Asset Strategist Andrew Sheets talks changing sentiment as 2020 kicks off.

Michael Zezas: Do Incumbents Always Win with a Strong Economy? 22.01.2020

On today's episode, How reliable is the maxim that a good economy means a presidential incumbent re-election? Head of U.S. Public Policy Michael Zezas looks at history.

Mike Wilson: Pressure Testing the Bull Case 21.01.2020

On today's episode, Progress on trade and Brexit, upbeat sentiment and central bank support have investors optimistic on the bull case narrative. Even so, it’s worth a quick inspection for surprises.

Andrew Sheets: Remember Fundamentals? 17.01.2020

On today's episode, Central bank support and low interest rates helped drive markets higher in 2019 despite lackluster earnings. But 2020 could remind investors why earnings trends are still what matters.

Michael Zezas: The Other Concern for U.S. Trade 15.01.2020

On today's episode, Although negotiations are progressing for U.S-China trade, investors shouldn’t overlook possible tensions with another key trading region: The EU.

Jonathan Garner: An Underappreciated Turnaround Story? 14.01.2020

Jonathan Garner, Chief Asia and Emerging Markets equity strategist kicks off his premiere episode with what is likely the most interesting—and overlooked—turnaround story in equity markets.

Mike Wilson: The Other Type of Income Inequality 13.01.2020

On today's episode, Rising labor, regulatory and cyber security costs are weighing heavily on many small caps. Is corporate income inequality as urgent an issue as individual inequality?

Andrew Sheets: Mapping the Future of Oil Prices 10.01.2020

On today's episode, Geopolitical tensions have driven oil prices—and volatility—higher. But a quick glance at 2022 oil futures prices can tell us a lot about the market’s longer-term view.

Michael Zezas: What’s Next on U.S.-China Trade? 08.01.2020

On today's episode, As a Phase One trade deal nears completion, can investors worry less about the risks of tariff escalations? Not so fast, says head of U.S. public policy Michael Zezas.

Mike Wilson: Weighing Fed Intervention, Geopolitics 07.01.2020

On today's episode, As 2020 begins, central bank moves and reawakened geopolitical risk promise to be key market catalysts. Chief Investment Officer Mike Wilson details the potential impact on portfolios.

Andrew Sheets: A New Chapter for the United Kingdom 03.01.2020

On today's episode, For three and a half years, Brexit has been a source of uncertainty for the United Kingdom and its markets. Now, with some business uncertainty reduced, a new narrative may be emerging.

Mike Wilson: 2020 and the Return to Reflation 23.12.2019

On today's episode, why escalating labor costs, deglobalization and central bank policies may mean positioning portfolios toward stocks that benefit from rising inflation.

Andrew Sheets: 3 Lessons from 2019… for 2020 20.12.2019

On today's episode, What important factors from 2019 could give investors context on the investing climate ahead? Consider valuations, policy and inflation.

Michael Zezas: Markets Mull the “Phase One” Deal 18.12.2019

On today's episode, What will the U.S-China “Phase One” trade deal mean for the global economy, corporate confidence and markets? Head of U.S. Public Policy Michael Zezas weighs in.

Mike Wilson: A Trifecta of Positive Catalysts 16.12.2019

On today's episode, A dovish Fed, progress on trade and a path toward a potentially orderly Brexit are driving global equities higher but how much of the global recovery is already priced?

Andrew Sheets: 2020 Playbook: Analyzing the Bull Case 13.12.2019

In this special two part bull/bear series, Chief Cross-Asset Strategist Andrew Sheets shares insight on the catalysts that could drive strong market returns in 2020.

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