Ep 01. Inflation, central bank policy and the likely implications for markets in the US | Arvind Rajan PhD
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In this episode of the ‘Economy and Asset classes’ series, Jolly Balva, CFA, is joined by Dr. Arvind Rajan, a veteran in financial markets in the US. They discuss the macro-economic environment in the US and the implications for markets. They navigate through the following on the current as well as long-term outlook. 
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