Description
The US Presidential election is six weeks away, polls are dead-locked and the most relevant questions for markets remain open. Which electoral barometers are of greatest relevance as Election Day approaches? Where are the post-election gaps in the two candidates' policy possibilities the widest? And which markets are most underpriced for the risks those gaps entail? Elliot Hentov, Head of Macro Policy Research at State Street Global Advisors, returns to the podcast with his unique and thought-provoking insights on all of those questions, and much more, as the countdown to November 5th rolls on.
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