In this episode, 42 Macro's Darius Dale and Peter Boockvar of Bleakley Financial Group discuss the mixed signals within the U.S. and global economies, market bifurcations, and the challenges of positioning portfolios in a complex macro environment. Peter highlights divergences across consumer spending, manufacturing, and services, as well as the impact of tariffs, rising interest rates, and inflation on corporate earnings. They also explore the sustainability of elevated market valuations, the potential for the 10-year Treasury yield to revisit 5%, and the risks posed by sovereign debt dynamics and a strong dollar. The conversation emphasizes the importance of connecting macro and micro signals for effective investment strategies.
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