89 Episodes

  1. Earnings unlikely to spoil stock rally

    Published: 2/5/2024
  2. Upgrading broad U.S. stocks

    Published: 1/29/2024
  3. Geopolitical fragmentation plays out

    Published: 1/22/2024
  4. Why stocks can stay upbeat, for now

    Published: 1/16/2024
  5. Navigating macro currents in 2024

    Published: 1/8/2024
  6. Three 2023 investment lessons we carry into 2024

    Published: 1/2/2024
  7. Putting money to work

    Published: 12/11/2023
  8. Three investment themes at COP28

    Published: 12/4/2023
  9. Getting granular in our strategic views

    Published: 11/27/2023
  10. Volatility a key feature of new regime

    Published: 11/20/2023
  11. AI: a mega force driving returns now

    Published: 11/13/2023
  12. Going granular in developed market stocks

    Published: 11/6/2023
  13. An evolving U.S. financial landscape

    Published: 10/30/2023
  14. U.S. stocks: selective as earnings stall

    Published: 10/23/2023
  15. U.S. yields: two-way volatility ahead

    Published: 10/16/2023
  16. Why structural changes matter now

    Published: 10/9/2023
  17. Finding new opportunities as Q4 starts

    Published: 10/2/2023
  18. Bond yields surge as new volatile regime plays out

    Published: 9/25/2023
  19. Seizing opportunities in the new regime

    Published: 9/18/2023
  20. New macroeconomic regime fuels market narrative flip flops

    Published: 9/11/2023

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From the BlackRock Investment Institute, Market take is a quick, weekly digest on what's driving markets. The podcast series provides investing insights and analysis across asset classes, investment strategies and borders – all to help our clients and portfolio managers navigate financial markets.