Analysts from J.P. Morgan Global Research take a closer look at the stories behind some of the biggest trends, themes and developments in markets today.
J.P. Morgan’s FX strategists discuss the outlook for the USD and other currencies in the wake of the US Treasury’s unexpected increase in long-end bond buybacks. Speakers: Arindam Sandilya Meera Chandan Patrick Locke James Nelligan This podcast was recorded on 21 August 2026. This communication is provided for information purposes only. Institutional clients can view the related report at…
In this podcast, Jay Barry, Head of Global Rates Strategy, discusses the expansion of the U.S. Treasury’s buyback program and its implications for Treasury market liquidity, issuance dynamics, and institutional investors. Speakers: Jay Barry, Head of Global Rates Strategy Samantha Azzarello, Head of Content Strategy This podcast was recorded on August 20, 2026. This communication is provided for…
The Global FX team debates multiple issues: the outlook for USD, yen, as well as the fate of cyclical low-yielders. Speakers Meera Chandan, Global FX Strategy Arindam Sandilya, Global FX Strategy Patrick Locke, Global FX Strategy James Nelligan, Global FX Strategy Octavia Popescu, Global FX Strategy This podcast was recorded on 14 August 2026. This communication is provided for information…
In this podcast, Frida Infante and Harry Downie discuss the latest inflation data and breakeven markets across the Euro area, the UK and the U.S. They talk through what’s a genuinely mixed bag of views this month, and where the key risks lie. This podcast was recorded on 14 August 2026. This communication is provided for information purposes only. Institutional clients can view the related report…
J.P. Morgan Short Duration Strategists Pankaj Vohra and Molly Herckis discuss the latest developments in the ABCP and Non-financial CP market. Speakers: Pankaj Vohra, Senior US Short Duration Strategist Molly Herckis, US Short Duration Strategist This podcast was recorded on August 13, 2026. This communication is provided for information purposes only. Institutional clients can view the related…
For the last few months, our focus has understandably been on oil and history's largest supply disruption. While we have spoken extensively about inventories and demand, one other component played a role - the positive supply response outside of the Middle East. Speaker: Natasha Kaneva, Head of Global Commodities Research This podcast was recorded on August 7, 2026. This communication is provided…
This week, our Global FX Strategists assess the impact NFP for the dollar in the wake of last week’s FOMC outcome and JPY intervention. We also expand on the carry trade’s resilience despite yen vol, and conclude with the latest news from the Euro bloc of currencies. Speakers: Patrick Locke, Global FX Strategy Antonin Delair, Global FX Strategy James Nelligan, Global FX Strategy This podcast was…
Rates strategists Jay Barry and Amanda Berke discuss Treasury’s August refunding announcement, the implications on issuance and yield levels, alongside a discussion of more structural themes in debt management. Speakers: Jay Barry, Head of Global Rates Strategy Amanda Berke, U.S. Rates Strategist This podcast was recorded on August 6, 2026. This communication is provided for information purposes…
This week delivered headlines across the board, and commodities were no exception. While Brent crude prices dropped off 11% from their highs last week, the fundamentals have deteriorated in Hormuz and Bab-el-Mandeb, with reignited discussions about transit fees and their legality. Do these fees have historical precedents? Can they be legal? We answer in this episode. Speaker: Natasha Kaneva, Head…
J.P. Morgan Strategists discuss the impact of President Trump’s Truth Social posts on interest rate markets. Speakers: Ipek Ozil, Head of US Interest Rate Derivatives Strategy Chris Hayward, US Interest Rate Derivatives Strategist This podcast was recorded on July 31, 2026. This communication is provided for information purposes only. Institutional clients can view the related report at…
This week, our Global FX Strategists unpack the fallout from the FOMC for the dollar, as well as implications from another round of Japan FX intervention against a BoJ hold. We also look at AUD’s reaction to recent local data and implications from the BoE meeting for GBP. Speakers: Patrick Locke, Global FX Strategy Junya Tanase, Global FX Strategy Ben Jarman, Global Economics, Rates & FX Strategy…