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Portfolio Manager Discusses Oil Risks And Portfolio Strategy

Portfolio Manager Discusses Oil Risks And Portfolio Strategy

On Zephyr’s Adjusted for Risk Podcast, market strategist Ryan Nauman interviews Thomas Martin, board member, partner, and senior portfolio manager at Globalt Investments, about the current market environment and portfolio positioning. Martin highlights the war involving Iran and potential disruption at the Strait of Hormuz as the key macro risk, primarily through its impact on oil prices and inflation, with possible recession implications if elevated prices persist. He explains Globalt’s approach as balanced and benchmark-aware, currently modestly overweight the U.S., underweight international equities, and holding Treasuries over credit due to insufficient compensation for credit risk, while managing duration near the market. He…

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