Mixed Markets, Tempering Fed Expectations (E186)
Oct 11, 2024•20 min•Ep. 186
Episode description
DoubleLine Portfolio Managers Jeff Mayberry and Samuel Lau on Oct. 11, 2024, review equity returns (0:44) at the start of the Q3 earnings season, a fixed income market (2:14) setting to higher yields and broad commodities (4:13) lower with energy up on geopolitical risk. The markets, they note, took the week’s macro news (5:57) in stride, including slightly higher-than-expected headline and core CPI reports for September. Jeff and Sam take note of a tempering (11:11) in market pricing of future fed funds rate cuts. Looking ahead to week of Oct. 14-18, they will be on the lookout (14:35) for export and import prices (Wednesday) and retail sales (Thursday).
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