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Street Signals

State Street

Street Signals is a weekly podcast packed with insights about the latest developments in financial markets from State Street Markets. Leveraging new tools, proprietary data and deep expertise, the Markets research team delivers highly valued market analysis on a daily basis to the world’s leading institutional investors. Join Street Signals' host, Tim Graf, State Street’s Head of Macro Strategy for EMEA, as he discusses the most important matters moving markets with guests from State Street and industrywide. 

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  • 25 episodes
  • weekly
  • Avg 33 min
  • English
Counted on this page — what you have heard stays on this device, so it is not something the list can be paged by.
  • October 1 · 32 min

    Bytes, Bonds and the Yen: The Big Picture In FX

    It's easy to get side-tracked by the day-to-day minutiae of markets, and taking a step back to get the bigger picture is often a good idea. Chris Pizzotti, Global Head of FX Sales and Trading at State Street Markets, is an ideal person to have just such a conversation. This week, we get Chris’ thoughts on the big trends in currency markets in 2026 and how he thinks they’ll play out in the coming months. More importantly, we talk through the future of the FX business and the value proposition for its clients, with some exciting news about the business he runs coming at the end of the episode. See omnystudio.com/listener for privacy information.

  • September 24 · 17 min

    There's Something About Carry

    FX carry trades - earning the yield spread available between two typically risky and safe currencies - is a long-standing theme in markets, which has also enjoyed excellent risk-adjusted returns over the last year. But with rate markets becoming more disruptive, are these strategies at risk? This week, we look at the positioning and pricing in currencies exposed to carry trades, on both the long and short side, to determine if any complacency persists. Host Tim Graf, Head of Macro Strategy for EMEA, puts his volatility hat on to talk through these risks. See omnystudio.com/listener for privacy information.

  • September 17 · 28 min

    Does AI Need To Break To Contain Inflation?

    Last week's strong US CPI data left a Fed rate hike this week a foregone conclusion and likely inaugurates at least a modest hiking cycle. Inflation pressures are broad and not strictly energy-related, arguing for tighter policy globally. But does one key source of inflation, the AI build-out, need to break, to get price stability back on target? And what does that mean for an asset allocation strategy over the remainder of this year, into 2027? We discuss these questions, as well as how the US dollar might fare in an environment of constant flux, with Cayla Seder, Senior Macro Strategist at State Street Markets. See omnystudio.com/listener for privacy information.

  • September 10 · 23 min

    Yen In Black

    After years of the market anticipating strength in the Japanese yen, it might finally be here. Aided by official Japanese intervention in the currency and hints of collaboration with the United States, a correction of the JPY’s long-standing perceived undervaluation would make for one of the most meaningful currency trends of the last decade. But why now? Will the yen strength of recent weeks last? And how far can it go? This week, we ask Michael Metcalfe, Global Head of Macro Strategy at State Street Markets, all of those important questions, and much more. See omnystudio.com/listener for privacy information.

  • September 3 · 28 min

    Understanding the Rate Market Turmoil

    Almost no matter where you look, bond yields are making new multi-decade highs, with concerns growing that rising debt servicing costs in high debt economies risk a snow-balling effect that culminates in a fiscal crisis. As if that weren’t enough, risk markets, particularly equities and credit, still appear oblivious to the potential for upset. After a pivotal week of speeches and pronouncements from US policy officials, it seemed a good time to catch up with Peter Vincent, State Street Markets EMEA head of FX trading in London. See omnystudio.com/listener for privacy information.

  • August 13 · 29 min

    Jackson Hole 2026: Questions of Clarity and Credibility

    August often brings important messaging shifts from the Federal Reserve, with their Jackson Hole Symposium, scheduled for 28-29 August, the usual forum. And we often speak to Marvin Loh, Senior Macro Strategist on our Americas team, about it. Unique circumstances might limit headline risk this year, but that's not for a lack of discussion material. Questions over the tightness of the labor market, the direction of inflation and the communication strategy of the central bank will dominate interest and serve as the jumping off point for a wide-ranging discussion on this week's episode. See omnystudio.com/listener for privacy information.

  • July 23 · 17 min

    Cross-Market Signals for the Summer

    As markets enter vacation mode, this week's podcast presents our annual summer overview of the proprietary indicators available from State Street Markets and how they map to the most relevant themes driving assets and currencies. The sustainability of the tech trade in equities, the near-term path of inflation and the direction of travel for the Federal Reserve and how they feed into a rate, curve and FX view - it's all here. Host Tim Graf, Head of Macro Strategy for EMEA, talks through how unique barometers of investor sentiment, real-time fundamental data and media tones can help navigate the coming weeks. See omnystudio.com/listener for privacy information.

  • July 16 · 50 min

    Marvin Barth: US Productivity, From Greenspan to Warsh

    The passing of Alan Greenspan last month and confirmation of Kevin Warsh as Federal Reserve Chairman in May bookend two booms is US productivity: the mass networking of computing power during the Greenspan Fed of the 1990s and the explosion of inferential applications of computing power today. These cycles influence central bank policy in ways often underappreciated until their aftermath. Marvin Barth of Thematic Markets joins the podcast this week, to look back at the lessons learned from past capex cycles and productivity booms, to apply this experience to the current moment in AI and to assess the initial steps towards institutional reform taken in the early weeks of Kevin Warsh's term. See omnystudio.com/listener for privacy information.

  • July 9 · 47 min

    Sir Ben Wallace: Defense, Deterrence and Lessons of Modern Warfare

    The need for robust and enhanced defense spending in an increasingly fragmented world is a policy objective agreed upon across the political divide. Few are better positioned to comment on the obstacles and opportunities of the process than Sir Ben Wallace, a former Captain in the British Army, a member of Parliament for 20 years and Secretary of State for Defense of the United Kingdom between 2019 and 2023. In his post-government life as an investor, he offers a singular perspective on the gaps in manpower and equipment faced by most Western powers and how we can begin to address them. See omnystudio.com/listener for privacy information.

  • July 1 · 38 min

    Mick Mulvaney: Policy, Polarization and Political Legacy

    With so many unanswered questions about the direction of US domestic politics and the role the United States now plays in the world, few can bring the experience and depth of knowledge of the political process as this weeks guest, Mick Mulvaney. Mick is a former elected member of the US House of Representatives for South Carolina, serving four terms before joining the first Trump administration in 2017 as Director of the Office of Management and Budget, ultimately serving as acting White House Chief of Staff until his departure in 2021. In a wide-ranging discussion, we cover the current policy dynamics shaping discourse in Washington, the geopolitical considerations driving the policies of the 2nd Trump Administration and the legacy left by Trump when his term finishes in 2027. See omnystudio.com/listener for privacy information.

  • June 24 · 37 min

    Alastair Campbell: Leadership, Media and the Populist Moment

    Few people are better positioned to comment on current trends in media and politics than Alastair Campbell. After a long career in journalism and politics, serving as UK Prime Minister Tony Blair's Press Secretary and Downing Street Director of Communications and Strategy, Alastair now co-hosts The Rest Is Politics, the most popular politics podcast in the UK. This wide-ranging discussion covers the changing nature of the media, what it takes for a leader to drive policy, the state of populism and the challenges for the Labour Party in the current political moment. See omnystudio.com/listener for privacy information.

  • June 17 · 43 min

    Street Signals Turns 3!

    As the podcast starts its fourth year, we take a look back this week: to its origins, how the content and message have changed over the years, what guests stood out as formative to building the audience and the lessons learned about macro and markets along the way. In a twist, the microphone gets turned around as well, with our host, Tim Graf, taking a turn as a guest. Ramu Thiagarajan, Head of Thought Leadership for State Street takes over this special birthday edition of Street Signals! See omnystudio.com/listener for privacy information.

  • May 28 · 34 min

    A New Chapter for US and China?

    This week we explore the evolving US-China relationship and the drivers of the stellar equity market performance in Asia this year, joined by Dwyfor Evans, Head of Macro Strategy for Asia at State Street Markets. The recent summit meeting of US President Trump and Chinese President Xi Jinping marked a thawing of relations but considerable questions remain around how the two countries will navigate geopolitical and trade tensions. These important discussions frame a regional market backdrop remarkable for its current strength, raising questions of sustainability of the concentrated returns year-to-date. See omnystudio.com/listener for privacy information.

  • May 21 · 30 min

    The RINO In the Room: Concentration Risks in Equities

    As impressive the recent bounce in stocks has been, it is a Rally In Name Only. Large cap tech companies dominate returns, while almost everything else - whether at a country or a sector level - continues to struggle. With inflation spiking and interest rate markets starting to show signs of dislocation, it is worth asking if the concentration of returns carries with it the seeds of its own undoing. Marija Veitmane, Head of Equity Strategy at State Street Markets, joins us to discuss the sustainability of stock market strength and whether fixed income stress will have any lasting impact on returns. See omnystudio.com/listener for privacy information.

  • May 14 · 32 min

    Are We In A New Inflation Regime?

    To kick off State Street’s series of global research events, we are joined by research partner Alberto Cavallo, co-founder of PriceStats and Professor of Business Administration at Harvard Business School. In this wide-ranging discussion of inflationary dynamics, we assess the last ten years of recurring price shocks and how much inflationary regimes and the price sensitivities of retailers and consumers have changed. The current impact of another energy price shock and lingering effects of last year’s tariffs briefly feature as a sneak preview of Alberto’s eagerly anticipated current thinking. For a fuller presentation of those themes, please contact your State Street representative to register for one of our upcoming events in Asia, the Americas and Europe. See omnystudio.com/listener for privacy information.

  • May 7 · 31 min

    Strait Talk: Oil, Macro and the Political Economy

    Wednesday’s hopeful news of a possible end to hostilities in Iran and opening of the Strait of Hormuz comes just as the macro impact of events is starting to be felt and seen in economic data. A resolution does not change the realities of high near-term inflation and the varying policy responses to it. Geopolitical disruptions are still going to resonate for some time. This week, we speak to Noel Dixon, Senior Macro Strategist at State Street Markets, on all these topics, and to position in FX markets accordingly. See omnystudio.com/listener for privacy information.

  • April 23 · 42 min

    US Stocks: Stick or Twist?

    Short-term market conditions remain subject to the headlines. Long-term questions of US equity market performance and whether investors require a rethink of their asset allocation preferences are the same and as valid today as they were before the eruption of Middle East hostilities. This week, Dan Gerard, senior multi-asset strategist for State Street Markets, talks to us about a new piece on the US stock market and whether concentration and valuation risks are as acute today as they were earlier in the year. See omnystudio.com/listener for privacy information.

  • April 16 · 36 min

    Iran: Has the Market Moved On?

    In a decade full of seismic geopolitical events, the conflict in Iran had the potential to rank amongst the most impactful. Yet financial markets never priced it as more than a fleeting instance of volatility. And now, the most severe dislocations are almost fully closed with the onset of talks to deescalate tensions. Question marks remain over energy supplies and the macroeconomic impacts of higher equilibrium oil and gas prices. This week, Peter Vincent, head of FX trading for EMEA at State Street Markets, joins us to discuss the landscape for FX, rate and equity markets now that the dust has settled. See omnystudio.com/listener for privacy information.

  • April 2 · 33 min

    Crude Awakening: Rate Markets In An Energy Crisis

    Many of the consequences of the latest disruption to global energy supply have yet to surface. While oil has been the immediate focus, volatility across global interest rate curves is emerging as an equally consequential second-order effect. Markets are rapidly reassessing the scale and timing of inflation and growth shocks – and how central banks are likely to respond. Whether this period of upheaval deepens worries already evident in credit markets is a further concern. This week, Marvin Loh, senior strategist at State Street Markets, joins the podcast to share his outlook for rates, credit and the impacts on the global economy through the coming months. See omnystudio.com/listener for privacy information.

  • March 19 · 32 min

    Iran Macro Risks: A Fragile Equilibrium

    As the conflict in the Middle East enters a third week, markets remain uneasy but resilient. Lessons absorbed during past geopolitical shocks have so far kept this a slow-burn test of positioning and risk tolerance, rather than a volatility event with a specific breaking point. This week, we speak with Lee Ferridge, Head of Macro Strategy for the Americas for State Street Markets as to whether this equilibrium can hold. He notes the most relevant variables of investor positioning and activity and their current messages, if markets are correctly pricing the policy response and why the US dollar has reasserted its safe-haven status. See omnystudio.com/listener for privacy information.

Showing 1–20 of 25 episodes