Weaker CPI, Conflicting Consumer Signals (E173)
Jul 12, 2024•27 min•Season 1Ep. 173
Episode description
DoubleLine Portfolio Manager Samuel Lau and Macro Asset Allocation Analyst Mark Kimbrough end the week of July 8-12 with a roundup of stock (1:44), bond (4:06) and commodity (6:18) markets. Then they survey the week’s macro news (7:34), including a ... Read More
For the best experience, listen in Metacast app for iOS or Android
