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UnavailableKey Macroeconomic Risks and Portfolio Management Implications
Currently unavailable

Key Macroeconomic Risks and Portfolio Management Implications

FromEnterprising Investor


Currently unavailable

Key Macroeconomic Risks and Portfolio Management Implications

FromEnterprising Investor

ratings:
Length:
12 minutes
Released:
Dec 13, 2012
Format:
Podcast episode

Description

Campbell Harvey discusses the limitations of quantitative easing in today's macroeconomic environment. His analysis has implications for the role of commodities, specifically gold, in a diversified portfolio.
Released:
Dec 13, 2012
Format:
Podcast episode

Titles in the series (100)

Illuminating, short conversations with noted economists, best-selling authors, leading researchers, and successful practitioners on topics ranging from geopolitics and whistleblowing to irrationality and outlooks. Download now, listen later and reflect at length.