We often categorize the epochs of finance as "post-XYZ" crisis as the changes that take place in market psychology, monetary policy, and politics upend our previously held truths, and experienced market participants have to learn the new rules of the game. Christophe Ollari, founder of Ollari Consulting, believes we are entering into a new post-COVID era, marked by different forms of monetary policy (ie., yield curve control or direct support of equity markets), suppressed bond market volatility, and an equity market that must act accordingly. Ollari also touches on the much-discussed "disconnect" between equities and the economy and argues that the lagging Russell 2000 index is a perfect example of why markets are neither disconnected from the facts nor pricing in a V-shaped recovery. Filmed on July 9, 2020.
Subject-matter experts offer in-depth analysis of global investment risk and opportunity. Expert View probes the top minds from relevant fields, offering critical insights into every corner of financial markets.
Subject-matter experts offer in-depth analysis of global investment risk and opportunity. Expert View probes the top minds from relevant fields, offering critical insights into every corner of financial markets.
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