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  • New Zealand shares – Poised for a rebound?
    2025/04/01

    Are New Zealand shares finally poised for a turnaround? Since the COVID lockdowns, the New Zealand share market has struggled, down 12%, while the United States market has surged 69%. With local shares lagging, is this the moment for a rebound?


    Mortgage rates have stabilised, consumer spending is on the rise, and farmers and exporters are back at the forefront. With valuations looking more attractive than ever, where are the biggest opportunities to capitalise on this shift?


    This week, Casey Keiper, Portfolio Manager at NZ Funds, joins James Grigor, Investment Strategist, to discuss the outlook for New Zealand shares and the factors driving the potential recovery. Join us to learn how NZ Funds, as an active manager, is positioning client portfolios to seize these emerging opportunities.

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    1 時間 2 分
  • Feelings, fundamentals and share market swings
    2025/03/17

    Less than a month ago, the S&P 500 hit a record high. Now it’s down 10%, sparking media headlines. But despite the drop, United States shares are still up over 8% in the past year. Market swings like this are normal, and not all global markets are reacting the same way. While Trump’s trade policies dominate the conversation, they’re just one piece of a bigger picture.


    This week, Mark Brooks, Chief Investment Officer at NZ Funds, joins James Grigor, Investment Strategist, to discuss these market swings. Is this a routine correction or something bigger? Are recession concerns justified, or is the noise drowning out the facts? With Trump touting economic strength while markets retrace, what’s the bigger risk – staying in or stepping out? And how can long-term investors use volatility to their advantage?

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    49 分
  • Superpowers, cyberwars and hackers – Who’s really in charge?
    2025/03/03

    The global order is shifting with rising autocracies, evolving alliances, and rapid technological advancements redefining international stability, trade and security – presenting important questions about New Zealand’s geopolitical position and economic direction.


    Joining us from New York, Alex Grigor is an expert in international relations, cyberwarfare and AI. With over 20 years of experience, he has advised governments on foreign policy, co-authored AI and cybersecurity white papers, and worked as a geopolitical analyst, providing insights into the forces shaping our world.


    We examine the role of cyberwarfare and AI in modern geopolitics and the impact of shifting alliances, including the significance of Chinese warships in the Tasman Sea. We will also explore what these macro-developments mean for global stability and trade, and how investors in New Zealand can think about the evolving landscape.

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    1 時間
  • Trade wars, tariffs and New Zealand’s road to recovery.
    2025/02/18

    The New Zealand economy is turning a corner, with green shoots replacing red flags and confidence inching its way back. But global uncertainty remains. Trade tensions are heating up, and tariff threats loom large.


    This week, top economist Cameron Bagrie joins us to discuss the outlook. Will the recovery move up a gear, or are the brakes about to be applied? Will our exports be hurt, or can we create new markets? And how should investors think about both risks and rewards in this shifting landscape?


    With over 20 years of experience – including a decade as ANZ’s Chief Economist – Cameron delivers sharp, independent insights through Bagrie Economics, a boutique firm known for its no-nonsense economic analysis.

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    47 分
  • Beyond the US – Will other markets shine in 2025?
    2025/02/04

    In our first Monday Call for 2025, we welcome Mark Brooks, Chief Investment Officer at NZ Funds, to discuss the key themes shaping the investment landscape. Despite global uncertainty, geopolitical tensions and major elections, 2024 ended on a strong note for markets. Now we look at what’s next.


    Markets enter 2025 with a mix of opportunities and challenges. The US remains a driving force, powered by its tech sector, but high valuations combined with high expectations and the Trump presidency add complexity. New Zealand’s share market, like many outside of the US, showed strength in late 2024, and while expectations remain modest, signs of improvement are emerging.


    What can investors expect in 2025? Will the downgrades seen in New Zealand turn to upgrades? Will new tariffs and geopolitical risks hinder growth? Why is the US so highly valued, and is this at risk? And where does Bitcoin fit in? Mark’s insights will equip investors with the knowledge to navigate the year ahead.

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    44 分
  • 2024 in review: How the return to a ‘normal’ economy led to a record year
    2024/12/12

    The global economy’s return to normality in 2024 fuelled the continuation of the bull market that began in 2022, delivering a record year for many markets. At the start of the year, the average forecaster predicted just a 3% increase in the United States stock market – yet markets surged far beyond those expectations.


    In this year-in-review podcast, we’ll unpack the key trends and insights. What worked for the Portfolios? What didn’t work as expected?


    We also explore a range of other themes, including the rise of AI, the return of Bitcoin, and why we believe 2025 will mark New Zealand’s own return to economic normality – a positive development for local markets.

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    59 分
  • Investor, Surfer, Freethinker: The Contrarian’s Playbook with Hugh Hendry
    2024/11/24

    Hugh Hendry is an award-winning hedge fund manager, investment thought leader, and surfer. He founded Eclectica in 2005, a London-based global macro fund known for its high-conviction, contrarian approach. Shortly after launching Eclectica, Hugh gained recognition with impressive returns of 50% in its second year and over 30% in 2008 during the height of the Global Financial Crisis. Although Eclectica has since closed, Hugh remains an active and influential market commentator. Reflecting his commitment to creative freedom in investing, he once said, “I have always been a heretic and argued against the consensus. I have always been angry.” Join us for a lively discussion with Hugh as we explore today’s investment landscape, hear his views on the U.S. election, his skepticism toward mainstream economic policies, and his belief in the value of reading broadly as a source of inspiration for business and investing.

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    1 時間 7 分
  • A View from the North – Global Market Opportunities with Syzygy’s James Grigor
    2024/11/12

    The suspense of the U.S. election, mounting government budget pressures, persistent inflation concerns in key economies, global power shifts, and new technologies are driving a complex, opportunity-rich environment for investors with longer time horizons. In this episode we explore this shifting environment with London-based James Grigor, Partner at Syzygy Investment Advisory and NZ Funds alumnus. Syzygy is a global macro asset management that serves sovereign wealth funds and family offices and is one of a select group of managers with which NZ Funds partners.

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    1 時間 1 分