Podcasts

Bond market volatility persists as Fed holds rates

In a March 3 conversation, Jeffrey Mayberry of DoubleLine Capital said inflation, growth and deficit concerns are keeping investors on edge.

Featuring Jeff Mayberry | March 17, 2025

9 min 22 sec | Related Article

Service businesses offer tariff-risk management

In an interview conducted Feb. 25th, Natalie Taylor of CIBC Asset Management said the range of potential outcomes for Canadian equities in 2025 is especially wide.

Featuring Natalie Taylor, CFA | March 10, 2025

8 min 30 sec | Related Article

Current environment favours U.S. dollar strength

Michael Sager of CIBC Asset Management says high market stress suggests a ‘stronger-for-longer’ U.S. dollar.

Featuring Michael Sager | March 3, 2025

8 min 42 sec | Related Article

U.S. tariffs will put Canadian corporate spreads at risk

Pablo Martinez of CIBC Asset Management says economic and policy curve balls are creating bond market volatility.

Featuring Pablo Martinez | February 24, 2025

8 min 37 sec | Related Article