Financial market instability has been in the ascendancy for much of the past few days as investors shunned risk assets and flocked to safe havens such as government bonds. A key catalyst was last Friday’s weaker-than-expected US employment report but there have been other factors - such as the BoJ’s monetary policy - that have amplified investor concerns. In our charts this week we home in on:
· Financial market volatility
· US data surprises and the Fed
· Japan’s carry trade and the BoJ
· Technology companies and equities
· US banking conditions and financial imbalances
· Supply side pressures and monetary policy
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