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Ep. 222: Boris Vladimirov on US Exceptionalism, Europe Risks and China Weakness

Ep. 222: Boris Vladimirov on US Exceptionalism, Europe Risks and China Weakness

Released Friday, 28th June 2024
Good episode? Give it some love!
Ep. 222: Boris Vladimirov on US Exceptionalism, Europe Risks and China Weakness

Ep. 222: Boris Vladimirov on US Exceptionalism, Europe Risks and China Weakness

Ep. 222: Boris Vladimirov on US Exceptionalism, Europe Risks and China Weakness

Ep. 222: Boris Vladimirov on US Exceptionalism, Europe Risks and China Weakness

Friday, 28th June 2024
Good episode? Give it some love!
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Boris is one of the leading macro thinkers in the market. He is a managing director at Goldman Sachs. Before GS, he was partner and portfolio manager at Rokos Capital Management, Fortress, and Brevan Howard. Boris started his career on the sell side, which included working at UBS and Dresdner. Boris gives his personal opinions and not those of Goldman Sachs or any other organisations he is affiliated with. In this podcast, we discuss late cycle dynamics, concerns about China, impact on Europe, and much more. 

 

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