Jim Bianco: Which Assets Win When Inflation Hits?

Blockworks Macro, Released on 7/6/22

On today’s episode of “On the Margin,” Jim Bianco of Bianco Research joins the show for a discussion on inflation. Arguing that we are “entering an era of persistent inflation”, Jim walks through the biggest winners in this market environment. After correctly predicting the Fed’s hawkish stance ahead of most analysts, Jim shares his thoughts on the bond market pricing in a pivot throughout 2023. Jim goes on to walk through the bond market turmoil with the worst H1 performance being recorded since 1787. Finally, Jim speaks on the contagion in crypto comparing the differences between DeFi protocols and CeFi lenders. But to hear that, you’ll have to tune in!

Jim Bianco is President and Macro Strategist at Bianco Research, L.L.C. Since 1990 Jim’s commentaries have offered a unique perspective on the global economy and financial markets. Unencumbered by the biases of traditional Wall Street research, Jim has built a decades long reputation for objective, incisive commentary that challenges consensus thinking. In nearly 20 years at Bianco Research, Jim’s wide ranging commentaries have addressed monetary policy, the intersection of markets and politics, the role of government in the economy, fund flows and positioning in financial markets. Prior to joining Arbor and Bianco Research, Jim was a Market Strategist in equity and fixed income research at UBS Securities and Equity Technical Analyst at First Boston and Shearson Lehman Brothers. He is a Chartered Market Technician (CMT) and a member of the Market Technicians Association (MTA). Jim has a Bachelor of Science degree in Finance from Marquette University (1984) and an MBA from Fordham University (1989).

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