In this episode of Excess Returns, we welcome back Cem Karsan of Kai Volatility Advisors for an in-depth discussion on the current state of markets and the global economy.
We explore:
– How geopolitical events in the Middle East and Ukraine are impacting markets and risk
– Cem’s views on inflation, recent Fed actions, and market flows
– The impact of options positioning and market structure on volatility
– Cem’s outlook for the remainder of 2023 and into 2024
– Historical patterns around elections and how they may apply today
– Thoughts on the rise of passive investing and potential shifts ahead
– Perspectives on AI as both a productivity driver and investment theme
Cem shares his unique insights on how the current market backdrop compares to other periods of elevated populism and inflation, and what that could mean for returns and investor behavior going forward.