Episodes
4 days ago
4 days ago
David Osman of IRF is joined by Sharmila Whelan, the Founder of Westbourne Research.
In this podcast, Sharmila Whelan explains the business cycle foundations of her investment strategy and global asset allocation guidelines. She discusses the potential impact of the Trump 2.0 Administration on US domestic and foreign policies. Sharmila then assesses the outlook for world public debt in the next 5 years, and explains what this could mean for government and corporate bond markets. Focusing next on Asia, she discusses some of the key aspects of the outlook for the economies and financial markets in Japan, India, China and Taiwan.
Sharmila Whelan is a very experienced global geopolitical-macro strategist, who has been advising buy-side clients on multi-asset investment strategies and asset allocations for nearly three decades. Sharmila has held prominent roles for leading firms in London and Hong Kong, including Merryll Lynch/Bank of America, CLSA, BP and Altheia Capital. She has also counselled various governmental bodies and is a frequent contributor to the financial media, including Bloomberg, the BBC and CNBC.
Westbourne Research is a global macroeconomic, geopolitical, policy forecasting and strategic advisory consultancy, which is based in London.
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