Macro Man
Contributor since: 2008
Report From Europe: Why We Like the Euro
2011 Non-Predictions 4: FX
Global Report: Queensland Floods and Belgian Political Situation Market Impact
2011 Non-Predictions 3: Rates
2011 Non-Predictions 2: Equities
2011 Non-Predictions 1: Commodities
More on Ratings Agencies and Consultants: What a Bunch of Quants...
Bad Day for Goldfinger, But Worse for Mr. Bond
Swimming With the Sharks: Trading Divergence in Gold vs. Real Rates
European Financials: A Line in the Sand
Market Outlook: CapEx, Capisce?
China's Solar Panel Glut and the Perils of Policy Lending
Further Deterioration in Europe: Time to Short Euro?
Fed Up of Waiting
Emerging Market Report
A Basis for Cross-Border Re-Leveraging: A Look at Recent Activity in Swap Market
Troubles in Europe: Risk Reward Opportunity in German Bonds?
The Real Impact of Mortgage-Gate: Reduced Securitization and Credit
Mervynflation: Problems in the U.K.
QE2 Mania: Surprising Correlation Effects
QE 2 Much
Report From Europe: Update on the Great Currency Devaluation Race
Europe's Action Packed Day: But Will It Be Enough for Equities to Justify Yesterday's Technical Breaks
CLSA Conference Highlights: Sri Lanka, Mongolia and Copper
Shifting Mood in Europe: Open Fire?
EUR's Recent Run Lacked Clear Catalysts: Was That Really the Starting Gun?
Don’t Sell Till You See the Whites of Their Socks
Summer Rest Stop Comes to End: A Look at Global Strategies to Get Back in Game
Line Ball Down Under: Has the Time to Short Australian Dollar and Equities Come?
BoJ LLC: The Problems With FX Intervention
JPY / USD: Extreme Sport FX-Devaluation
Hmm... Do I Smell a Euro?