Episodes

  • The US Dollar Time Machine: Relevant Lessons from History
    Jan 22 2026

    Extrapolating past results to predict future outcomes is typically futile. But what if we could isolate the most statistically relevant historic parallels towards making better forecasts? This week, we discuss the techniques of relevance based prediction and how more robust and successful outlooks can result from their use. Joining us are Megan Czasonis, Head of Portfolio Management Research at State Street Associates, and Michael Metcalfe, Global Head of Macro Strategy, to discuss recently-published research on these new methods used to forecast USD performance and what the current framework says about a dollar outlook over the medium term.

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    28 mins
  • Taking Stock of '26: A Conversation with Ron O'Hanley
    Jan 15 2026

    Ron O’Hanley, Chairman and CEO of State Street, is back on the podcast for a wide‑ranging discussion, looking back on the main stories of 2025 and ahead to the forces shaping 2026. Ron and host Tim Graf explore whether risks that once loomed large have faded or simply changed form, and how growth, monetary policy, and AI‑led investment may influence markets in 2026. Asset allocation trends, private markets expansion and global currency dynamics feature, before concluding with a view of State Street’s strategic priorities — from AI adoption to digital assets and ETFs.

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    44 mins
  • Tackling the 2026 Consensus
    Jan 8 2026

    The start of the year is always a convenient time to think about consensus risk. Market watchers have all updated their forecasts and published their year ahead pieces. For the first episode of Street Signals in 2026, host Tim Graf, head of Macro Strategy for EMEA, carries on a tradition in going through a few of the most prominent consensus outlooks, mapping them to the message from our proprietary indicators and highlighting opportunities to go with or against the herd.

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    16 mins
  • The Best Reads of 2025
    Dec 18 2025

    Just before Christmas, it's tradition for the Macro Strategy Team at State Street Markets to publish recommendations of the best things we've read, listened to or watched over the previous year. Common patterns often emerge and it is often the case that our choices are informed by our work analyzing macroeconomics and markets. But as you're about to hear, many of the choices have nothing to do with our day jobs. This year, we published our 12th edition of that list, available now on our Insights platform. This week's podcast is an audio summary of that document and a chance to bid you a very festive and happy holiday season, and wish you a Happy New Year!

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    24 mins
  • Trading Notes for '26
    Dec 11 2025

    After getting the year-ahead views of the Macro Strategy team at State Street Markets last week (which you can listen to here), this week we hear from our FX Trading team. Questions of central bank independence and policy divergence top the list of risk factors for 2026, with implications of the AI investment cycle also factoring heavily into a macro outlook. We catch up with Peter Vincent, EMEA Head of Trading, for his thoughts on the state of the US labor market, inflation, policies of the Federal Reserve, ECB and Bank of Japan, and the other critical drivers for rates and FX around the world.

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    31 mins
  • The 12 Trades of Risk-mas: A 2026 Macro Outlook
    Dec 4 2025

    The Macro Strategy Team at State Street Markets has published their top ideas for the year ahead. Will the tech stock bull run continue, or are recent, rising credit concerns enough to derail sentiment and valuations? Was 2025's dollar decline the beginning of a multi-year trend or is the buck on the brink of reversal? And are Japan's recent attempts at reflation about to stall or take the next step to success? We present a dozen ideas, across equities, fixed income and FX, all with an eye on which themes will continue into and emerge from 2026.

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    30 mins
  • Imbalanced Accounts: Trade and Capital in 2025 with Brad Setser
    Nov 20 2025

    The signal events and dominant narratives of 2025 have not had quite the advertised effects where global current account and capital flow trends are concerned. As Brad Setser, senior fellow at the Council on Foreign Relations, notes, tariffs raise revenue for the US but so far its external position relative to Asia has, if anything, worsened. De-dollarization has been an eye-catching idea that still has little basis in fact. The expected revaluation of currencies relative to the USD has been much more limited in scope than one might appreciate. These and many other threads are pulled together in a globe-spanning episode this week.

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    52 mins
  • Global Competition and Its Trade Offs with Elliot Hentov
    Nov 13 2025

    This week, we dive into the nuanced world of macroeconomics and geopolitics. Elliot Hentov, Chief Macro Policy Strategist at State Street Investment Management, joins us to explore the state of deglobalization and the current status of geo-strategic competition in trade, technology, energy production and capital allocation. As we navigate the shocks of recent years and move towards a new equilibrium, the discussion focuses on the trade-offs embedded in each aspect of these competitions and the pressures on resources, carrying profound implications for consumers, investors and the political class.

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    42 mins