Feb 05 2025 38 mins 9
In this episode, Anthony and Piers break down Trump’s idea for a U.S. sovereign wealth fund, what it is, how it works, and why it matters. They explore global examples like Norway’s trillion-dollar fund, the potential impact on U.S. debt management, and whether such a fund could reshape economic policy.
The conversation then shifts to U.S.-China trade tensions, the latest tariff negotiations, and how markets are reacting to strategic moves from both sides.
Tune in for expert insights on finance, geopolitics, and market trends!
(00:00) Introduction and Podcast Recognition
(01:35) Understanding Sovereign Wealth Funds
(05:36) Types and Examples of Sovereign Wealth Funds
(19:42) The difference between the EU & Middle East
(23:00) The Potential Impact of a US Sovereign Wealth Fund
(25:05) Current Tariff Discussions and Market Reactions
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