It’s already been a tough, strange 11 months for everyone – and 2022’s not over yet. On a weekly interval basis, the S&P 500 has been in the red for more than 60% of the year. Treasuries have gone through multiple, nasty downturns and haven’t exactly performed counter to traditional risk assets. How much longer will this bear last? Are there any signs of hope? Michael Gayed, portfolio manager at Tidal Investment Group and the publisher of The Lead-Lag Report, joins Harry Melandri to break it all down on another fascinating episode of The Next Big Trade
The Next Big Trade, hosted by Harry Melandri, forecasts future trends in macro and digital markets. We talk to the biggest names in finance to find out their next big buy.
The Next Big Trade, hosted by Harry Melandri, forecasts future trends in macro and digital markets. We talk to the biggest names in finance to find out their next big buy.
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