Episode notes
Bond yields have risen sharply in the past month. Is this move an overreaction – and is it creating opportunities for investors? Lindsay Rosner, Head of Multi-Sector Investing in Goldman Sachs Asset Management, discusses with Chris Hussey. Recorded on March 25, 2026. The opinions and views expressed herein are as of the date of publication, subject to change without notice, and may not necessarily reflect the institutional views of Goldman Sachs or its affiliates. The material provided is intended for informational purposes only, and does not constitute investment advice, a recommendation…
The Markets
by Goldman Sachs · English · Business
What’s driving this week’s market moves – and where are the biggest opportunities? Goldman Sachs traders discuss.
More from The Markets
-
24 Apr 2026 · 11 min
Big Opportunities in Small Cap Equities
After years of underperformance, small-cap equities may be poised for a sustained rally. Where should investors look for opportunities? And can this momentum withstand macro volatility? Greg Tuorto, head of the US Small and SMID Cap team in Goldman Sachs Asset Management, discusses with Chris Hussey. Recorded on April 23, 2026. The opinions and views expressed herein are as of the date of publication, subject to change without notice, and may not necessarily reflect the institutional views of Goldman Sachs or its affiliates. The material provided is intended for informational purposes only,…
-
17 Apr 2026 · 12 min
Chase or Fade the Rally?
US equities have staged a powerful rebound, coming back from their late-March lows to hit all-time highs. Are more gains ahead, or should traders look to take profits? And what could earnings tell us about the state of the economy? Bobby Molavi, head of European Execution Services in Goldman Sachs Global Banking & Markets, discusses with Chris Hussey. Recorded on April 16, 2026. The opinions and views expressed herein are as of the date of publication, subject to change without notice, and may not necessarily reflect the institutional views of Goldman Sachs or its affiliates. The material…
-
10 Apr 2026 · 10 min
Big Tech Opportunity
After a huge one-day rally on the Iran ceasefire deal, is there still room for stocks to go higher? And what’s the best way for investors to take bullish positions on US equities now? Lee Coppersmith, who co-runs New York Equity Derivatives Sales in Goldman Sachs Global Banking & Markets, discusses with Mike Washington. Recorded on April 8, 2026. The opinions and views expressed herein are as of the date of publication, subject to change without notice, and may not necessarily reflect the institutional views of Goldman Sachs or its affiliates. The material provided is intended for…
-
20 Mar 2026 · 10 min
"The Market Is Fragile"
While the S&P 500 has traded within a relatively narrow range this year, there are significant signals of stress below the surface, says John Storey, Co-Head of Equities Distribution in Goldman Sachs Global Banking & Markets. He discusses investor positioning, and the potential for “asset-heavy” companies to outperform, in this conversation with Chris Hussey. Recorded on March 18, 2026. The opinions and views expressed herein are as of the date of publication, subject to change without notice, and may not necessarily reflect the institutional views of Goldman Sachs or its affiliates. The…
-
13 Mar 2026 · 10 min
Untangling Signals of Market Stress
Geopolitical uncertainty and a decline in S&P 500 liquidity are prompting institutional investors to hedge against macro risks. How are investors responding to surging volumes and shifting thematic trades? John Flood, head of Americas Equities Execution Services in Goldman Sachs Global Banking & Markets, discusses with Chris Hussey on the Goldman Sachs trading floor. Recorded on March 12, 2026. The opinions and views expressed herein are as of the date of publication, subject to change without notice, and may not necessarily reflect the institutional views of Goldman Sachs or its affiliates.…
-
6 Mar 2026 · 8 min
New Worries
A weaker-than-expected employment report, and increasing geopolitical concerns, are leading to significant market volatility. How should investors make sense of this environment? Josh Schiffrin, Chief Strategy Officer and Head of Financial Risk for Goldman Sachs Global Banking & Markets, discusses with Chris Hussey on the Goldman Sachs trading floor. Recorded on March 6, 2026. The opinions and views expressed herein are as of the date of publication, subject to change without notice, and may not necessarily reflect the institutional views of Goldman Sachs or its affiliates. The material…
-
9 Oct 2026 · 11 minNew
Hedge Funds Are Cautious on Stocks amid Rates and Energy Volatility
Hedge fund positioning in equities for long-short strategies is at historically low levels amid ongoing volatility in interest rates and oil prices, says Mark Wilson, head of European Equity Franchise Sales and Hedge Fund Coverage in Goldman Sachs FICC and Equities. And even as investor scrutiny of French government borrowing grows, Wilson points out that there are investment opportunities in Europe in defense stocks and the energy independence theme. In The Markets podcast, he also discusses his outlook for mega-capitalization technology companies, stocks that benefit from German government…
-
2 Oct 2026 · 9 min
AI Is Becoming a Stock Picker's Market
Trading in artificial intelligence (AI) stocks is evolving as investor interest broadens beyond semiconductor makers and companies that benefit from capital expenditures in AI, says Peter Callahan, US Technology, Media, and Telecommunications sector specialist in Goldman Sachs FICC and Equities. On The Markets podcast, he says investors are increasingly focused on companies that help organizations implement the technology and AI agents for commerce. Callahan also discusses how rising interest rates are impacting technology stocks, the growing dispersion among software companies, and his…
-
25 Sep 2026 · 12 min
Why the Bond Market May Be the Stock Market's Biggest Risk
With US 10-Year Treasury yields climbing this week to the highest level since 2007, the bond market may be the biggest risk to further equity gains, says Tony Pasquariello, global head of hedge fund coverage in Goldman Sachs FICC and Equities. Shorting bonds could be a useful hedge for stock investments, he says on The Markets podcast. S&P 500 earnings growth, meanwhile, has been “mind-bending,” helping to keep valuations from becoming stretched, Pasquariello says. However, the increase in earnings may begin to taper off, and US stock returns may slow from their double-digit annual pace. He…
-
18 Sep 2026 · 11 min
The Opportunities for Investors amid Higher-for-Longer Interest Rates
The Federal Reserve signaled this week that interest rates could be higher for longer, which may pose a challenge for the broader equity market if tighter policy leads to less consumption, says Anshul Sehgal, global co-head of Fixed Income, Currency and Commodities. However, companies that specialize in computing and data centers could be an opportunity for investors amid elevated interest rates. On The Markets podcast, Sehgal also discusses his take on the latest Federal Open Market Committee meeting and his outlook for longer-term bond yields. Filmed on September 17, 2026. The opinions and…
