We will host a conference call in which we lay out the macro and market implications of the collapse in oil prices on Thursday 14 January 2016, 09:00-09:30 CET.
See The Repercussions of the Oil Price Collapse: Themes and market views , 11 January 2016.
We analyse the repercussions on the global economy and discuss 'asymmetric' market views and trades, which appear isolated from oil price developments.
Agenda:
Moderator: Thomas Harr, Global Head of FICC Research
Global macro implications, by Pernille Bomholdt Henneberg, Senior Analyst
EM oil pegs start feeling the squeeze, by Jakob Ekholdt Christensen, Chief Analyst
Norway to escape recession, by Kristoffer Kjær Lomholt, Analyst
EUR/USD to rise in 2016, by Christin Kyrme Tuxen, Senior Analyst
How to play higher inflation in FI markets, by Jens Peter Sørensen, Chief Analyst
To read the entire report Please click on the pdf File Below