DiscoverThe Outthinking InvestorPt. 2 - Lessons from the Banking Crisis: What Risks Remain?
Pt. 2 - Lessons from the Banking Crisis: What Risks Remain?

Pt. 2 - Lessons from the Banking Crisis: What Risks Remain?

Update: 2023-04-17
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This is the final installment of a two-part episode in which we further examine what sparked the latest bank crisis and whether it was a canary in the coal mine. Robert Armstrong, US financial commentator and writer of Unhedged for the Financial Times, and John Cochrane, senior fellow at the Hoover Institution and author of The Fiscal Theory of the Price Level, join us to discuss the implications of banking fragilities, keeping a long-term investment horizon amid market volatility, and how swelling government debts could set the stage for new market risks.

For more on this topic, visit our bank crisis hub to explore views from across PGIM.

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Pt. 2 - Lessons from the Banking Crisis: What Risks Remain?

Pt. 2 - Lessons from the Banking Crisis: What Risks Remain?

PGIM