
Market and economic wrap: Markets remain volatile as energy shocks and geopolitics continue to dominate the narrative.
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In this episode of the Market and Economic Wrap, Trevor Garvin, Head of Multi-Manager at Nedgroup Investments, explores continued market volatility as geopolitical tensions and energy supply disruption remain firmly in focus. The discussion covers the impact of elevated oil prices on inflation and interest-rate expectations, as well as recent moves across equities, bonds, and currencies. Against a backdrop of heightened sensitivity to global events, the episode highlights the central role of energy markets in shaping investor sentiment and why diversification remains critical in navigating ongoing uncertainty.





