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Barclays Private Bank Podcasts

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Rating
★★★★★
5
from
1 reviews
This podcast has
294 episodes
Language
English
Explicit
No
Date created
2020/10/06
Latest episode
2026/04/20
Average duration
-
Release period
7 days

Description

Insights and analysis from leading investment, property and philanthropy experts within Barclays Private Bank. This series of podcasts will look at the trends, challenges and opportunities for those investing, buying property and giving in these turbulent times. privatebank.barclays.com/insights

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Markets Weekly podcast (20 April 2026): Is a peace deal in reach?
2026/04/20
As negotiations in the Middle East continue, is a peace deal in reach? Julien Lafargue, Chief Market Strategist, considers the latest developments in the region. Meanwhile, US banks reported first-quarter results that generally beat expectations – driven by strong equity trading – and painted an encouraging outlook backed by the strength of the US consumer and a resilient economy.
Markets Weekly podcast (13 April 2026): Lessons in investor behaviour
2026/04/13
What can we learn from the way investors behave during bouts of extreme market volatility? Alex Joshi, Head of Behavioural Finance, joins host Julien Lafargue, Chief Market Strategist, to discuss recent investor behaviour amid unpredictability in the Middle East, how use of live newsfeeds affects investor decisions and the importance of maintaining perspective despite ongoing uncertainty.
Markets Weekly podcast (7 April 2026): Middle East ultimatum
2026/04/07
What does Tuesday’s US deadline for Iran mean to markets? Listen in to hear Julien Lafargue, Chief Market Strategist, consider recent developments in the Gulf. Despite the market’s resilience in the hopes of a ceasefire, the potential for oil shortages amidst a prolonged conflict threaten to hit global economic growth and increase the risk of recession.
Markets Weekly podcast (30 March 2026): Spotlight on currency markets
2026/03/30
How is the conflict in the Middle East affecting currency markets? Listen in to hear Bhaskar Gupta, our Head of FX Distribution UK, discuss the latest developments in FX markets and the outlook for the major currencies and central bank policy. Julien Lafargue, Chief Market Strategist, also gives an update on events in the Middle East, and highlights why market attention could soon shift from inflation worries to recession risk, if oil shortages materialise.
Markets Weekly podcast (23 March 2026): Real estate special
2026/03/23
This week’s podcast features Stephen Moroukian, our real estate financing specialist, for an in-depth look at the latest property market developments. Listen in for expert insights on how the Middle East conflict is affecting UK fixed-term mortgage rates, as well as its potential impact on property prices – in both the UK and the UAE. Stephen also outlines the key changes of the Renters’ Rights Act, which is set to shake up the UK rental market when it takes effect in May. In addition, host Julien Lafargue looks at the wider market impact of the Middle East situation, and whether investment opportunities are emerging after recent market repricing.
Markets Weekly podcast (16 March 2026): Market update on the Middle East
2026/03/16
As the conflict in the Middle East enters its third week, our latest podcast examines the reaction across equity and bond markets, and the potential scenarios ahead. Julien Lafargue, Chief Market Strategist, is joined by Michel Vernier, Head of Fixed Income Strategy, to discuss the dramatic moves in rates and how the outlook for fixed income markets has shifted, including for private and public credit markets. Meanwhile, Dorothée Deck, Head of Cross Asset Strategy, considers how soaring oil prices have affected equity markets, as well as the potential impact on sectors and regions in a sustained energy shock.
Markets Weekly podcast (9 March 2026): UK politics special
2026/03/09
This week, Sonia Fernandes, our UK government relations and policy specialist, delves into the latest developments in UK politics – including the evolving relationship with the US, last week’s Spring Statement and the increasing uncertainty surrounding the future of the country’s leadership. Host Julien Lafargue, Chief Market Strategist, also gives an update on the conflict in the Middle East, from the potential impact of soaring oil prices to whether now could be a good entry point for investors.
Markets Weekly podcast (2 March 2026): Investor implications of conflict in Iran
2026/03/02
In this week’s podcast, Julien Lafargue, our Chief Market Strategist, discusses the joint attack on Iran by Israel and the US over the weekend, and the potential implications for global markets.
Markets Weekly podcast (23 February 2026): What’s happening in credit markets?
2026/02/23
Does recent volatility among software stocks signal a significant risk for the credit market? Michel Vernier, Head of Fixed Income Strategy, and Aleks Devic, Fixed Income Specialist, join Julien Lafargue to explore recent price action, examine the headlines about redemption limitations within private credit markets and to discuss how investors can build a sustainable credit portfolio.
Markets Weekly podcast (16 February 2026): AI special
2026/02/16
In this week’s podcast, Nvidia’s Simon See, joins host Julien Lafargue to reflect on the impact artificial intelligence and what his AI research work at the company suggests could happen next. Given that AI tailwinds that powered the market higher have turned into headwinds recently, we hope you find this informative.
Markets Weekly podcast (9 February 2026): Fixed income special
2026/02/09
In this week’s podcast, Michel Vernier, Head of Fixed Income Strategy, joins host Julien Lafargue to reflect on recent central bank rate-setting meetings. What can we expect from the US Federal Reserve (Fed), European Central Bank and the Bank of England over the next few quarters? How did bond markets react to Kevin Warsh’s nomination as the next Fed chair? And what does Japan’s recent election result mean for investors?
Markets Weekly podcast (2 February 2026): Currency market special
2026/02/02
In this week’s podcast, Stefano Mascoli, Head of FX and Capital Markets in Monaco, joins host Julien Lafargue to discuss the drivers behind the recent sharp moves in currency markets. Are investors witnessing a structural shift in the US dollar? How much further could the yen rally? And what role did the prospect of a coordinated US–Japan intervention play in markets?
Markets Weekly podcast (26 January 2026): What's driving weaker US job growth?
2026/01/26
The US economy is creating far fewer jobs, but is this just a temporary soft patch? Lukas Gehrig, our Head of Quant Macro and Thematic Strategy, joins host Julien Lafargue, Chief Market Strategist, to delve into the trends shaping the US labour market – from tougher immigration and shifting demographics to advances in artificial intelligence – and why they matter for investors.
Markets Weekly podcast (19 January 2026): Corporate earnings special
2026/01/19
In this week's podcast, Dorothée Deck, Head of Cross Asset Strategy, joins host Julien Lafargue to discuss how market leadership is broadening across companies, sectors and regions. They cover what’s driving this shift, why investor sentiment remains fragile, and why earnings delivery is becoming increasingly important. They also preview the key themes for the Q4 reporting season – from AI‑related productivity to capex trends and the durability of mega-cap earnings – and share early insights from US bank results.
Markets Weekly podcast (12 January 2026): Fixed income special
2026/01/12
In this week's podcast, Michel Vernier, Head of Fixed Income Strategy, joins host Julien Lafargue to reflect on the bond markets in 2025 and provide insights on what will be the driving forces in 2026. They discuss if central banks are done with interest rate cuts and if the bond markets are too complacent about the inflation outlook. Additionally, they explore what large-scale, AI-related capital expenditure means for credit markets.

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