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QA with Mark Wall

27. Mai 2022
Autor:
In a new ‘Q&A with’ Mark Wall, Chief Economist Europe, shares his views on an immediate threat of contraction in Europe, how soon ECB will hike rates and how far ECB rates will rise. [mehr]

Weitere Dokumente zum Thema "International"

386 (51-62)
28. Juli 2022
51
In a new ‘Q&A with’ Mallika Sachdeva, Asia Macro Strategist, introduces a newly launched Deutsche Bank’s Asia Corporate Newsletter, what market environments corporates are likely to face in the coming quarter and what the longer-term themes most pressing for corporates are. [mehr]
26. Juli 2022
Autor:
52
Stablecoins und das DeFi-Ökosystem haben derzeit einen schweren Stand. Aktuell setzt die restriktivere Geldpolitik die Krypto-Bewertungen unter Druck. Dadurch dürfte sich jedoch zeigen, welche Dienste einen echten Mehrwert für die Kunden bieten. In der Tat haben die führenden besicherten Stablecoins den Sturm recht gut überstanden. Es muss zwar mit weiteren Verlusten gerechnet werden, aber das Ökosystem wird vermutlich konsolidiert und gut positioniert für weiteres Wachstum aus der Krise hervorgehen. [mehr]
15. Juli 2022
53
Assessing the state of the US economy has become very tricky recently with various datapoints sending conflicting signals about the underlying strength. While 2.7 million new jobs were added in the first half of 2022 with the unemployment rate staying at 3.6%, consumer sentiment is plumbing historical lows and forward-looking growth indicators have weakened. Matthew Barnard, Head of Company Research, US speaks to Matthew Luzzetti, Chief US Economist, to shed light on what is going on. [mehr]
11. Juli 2022
54
In a new ‘Q&A with’ Matthew Luzzetti, Chief US Economist shares his insights on whether the US Economy is already in a recession, and if it isn’t when one is expected and how the Fed is likely to respond to the conflicting signals from inflation and growth. [mehr]
7. Juli 2022
56
The quant team's 'Academic Insights' report discusses the most relevant, recently published academic papers on various topics related to quantitative investing as sourced by Deutsche Bank Research analysts. The latest edition, which features over 70 studies and podcasts, includes climate research, digital assets, intangibles, inflation, tail risk hedging and diversification. Watch this latest video with Caio Natividade to find out what stands out. [mehr]
20. Juni 2022
60
With a tumultuous first half of 2022 almost over, we are making a contrarian call for the second half. Specifically, we believe that although M&A will slow compared with last year, it will be more resilient than the drop so far in 2022 would suggest. To support this, we have identified several post-covid themes that are motivating corporates and private capital to make acquisitions. [mehr]
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