Macro Matters: Invesco’s Levitt on Equities, Rates and Oil
Oil volatility and renewed geopolitical risk have complicated what had looked like a supportive backdrop for risk assets in 2026. Brian Levitt, Invesco’s chief global market strategist, joins Ira Jersey,...
By Aditya Somani · Bloomberg
Oil volatility and renewed geopolitical risk have complicated what had looked like a supportive backdrop for risk assets in 2026. Brian Levitt, Invesco’s chief global market strategist, joins Ira Jersey, Bloomberg Intelligence’ chief US interest-rate strategist, on this Macro Matters edition of the FICC Focus podcast to discuss why he still sees a constructive medium-term outlook for markets even as the war in the Middle East has shifted the global economy from expansion toward a slower-growth p