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Advance regular market updates
Summary: Felix's insights will be of interest to both advisers and investors to ensure they plan for the right mix of asset classes within individual portfolios.
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- Artist: BT Investment Solutions, BT Financial Group
- Copyright: Copyright 2010-2015 - BT Investment Solutions
Podcasts:
Today Felix examines the sentiment surveys and with a record number of "bulls" in force, what impact these levels may have on the market together with central bank policy measures.
This week Felix looks at the mutual funds survey, CFDC spec positions, capital flows and the outlook for the next week.
This week Felix looks at the mutual funds survey, proprietary S&P 500 speculative positions and risk in light of events on Capitol Hill.
This week Felix looks at the debt ceiling crisis, emerging market capital flows, equity market valuations, and the swings in Mutual Funds Survey results.
This week Felix discusses market movements and developments in light of the US Federal Reserve's FOMC meeting and the German election result.
This week Felix examines the Mutual Fund Survey, signs of a recovery across the global economy and the upcoming German elections.
This week Felix examines the Mutual Fund Sentiment Survey, risk appetite in this period of high volatility and seasonal weakness.
This week Felix examines emerging market bond outflows, CFTC positions, volatility indices and the impact of geopolitical uncertainty.
This week Felix looks at real money and emerging market capital outflows, geopolitical instability, changes in the CFTC positions, and an increase in bearish investor sentiment.
This week Felix looks at risk appetites, volatility, geopolitical risks, currency flows and Japanese currency hedging.
This week Felix discusses Australian bonds, the Aussie dollar, the commodities resurgence and geopolitical risks.
This week Felix discusses speculative positioning, bond market and ETF capital flows, currency movements and FED tapering.
This week Felix looks at the divergence between institutional and retail fund flows, as well as Italy, the upcoming FOMC minutes, and long/short market positioning.
This week Felix looks at risk appetite, speculative and real money positioning, capital flows, and commodities.
This week Felix looks at risk appetite, speculative and real money investor positioning, and the upcoming Japanese elections.