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Rating
5from
This podcast has
12 episodes
Language
EnglishPublisher
ThornburgExplicit
No
Date created
2020/05/01
Latest episode
2026/02/03
Average duration
19 min.
Release period
19 days
Description
Hear our experts bring a new perspective to widely talked about market and economic topics.
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Finding Opportunity Amid Imbalance: 2026 Market Outlook
2026/02/03
Entering 2026, markets appear imbalanced, with equity returns becoming increasingly concentrated, while fixed income offers asymmetric outcomes with limited downside protection. Opportunity still exists, just not where it's most crowded. In 30 minutes, we cut through the noise and focus on what's working, what's changing, and where to position client portfolios now.
Ferrari's Electric Future and the Evolution of Luxury Investing
2025/12/19
Hear insights from Ferrari's Capital Markets Day and meetings with Brunello Cucinelli, exploring how luxury brands balance exclusivity with growth in global markets.
Luxury Brands Navigate China Slowdown and Tariff Pressures
2025/12/08
We evaluate shifting consumer spending patterns amid global macro and geopolitical headwinds.
The High-Quality Case for Investing in Global Luxury Goods
2025/11/20
Field research in Europe illustrates how active management and fundamental work uncover quality non-U.S. equity opportunities in the $1.7T global luxury space.
Beyond ESG Scores: Active, Governance-Driven Alpha
2025/11/05
Why active, fundamentals-led ESG can boost earnings and multiples vs. passive ESG in global equities and may lead to better outcomes for investors.
Active Management, International Investing, and Dividends
2025/10/03
Thornburg client portfolio managers discuss how active management can help investors identify sector opportunities and navigate current economic conditions.
Thornburg Investment Insights: Corporate Earnings and Tariff Impacts
2025/09/18
Thornburg Client Portfolio Managers discuss the latest corporate earnings and how tariff impacts will slowly start to creep into the data.
The U.S.-China Relationship, the Fed, and Data Reliability
2025/09/04
Thornburg client portfolio managers discuss the latest topics moving markets including the U.S.-China relationship, the latest with the Fed, and how data reliability can affect decisions in today's current environment.
Active Investing in a Passive World
2025/08/21
Thornburg's CPMs discuss the case for active investment management amid heightened uncertainty, macro pressures, and interest rate volatility.
Thornburg Investment Insights: A Deep Dive Into Fixed Income Markets
2025/08/07
Thornburg client portfolio managers discuss the nuances of the fixed income market and what should be top of mind for investors.
The CPM Roundtable: Adventures in Global Equity
2025/07/24
We discuss opportunities in global equity, including the importance of dividend income and diversification.
Tariffs, Stagflation, and the Fed: A Spotlight on Investors' Most Pressing Questions
2025/07/09
Thornburg's client portfolio managers explore some of Wall Street's biggest themes.
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