NatWest Commercial and Institutional

By NatWest Commercial and Institutional

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Episodes: 234

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Need to keep up-to-date with the latest economic analysis and financial market news? Subscribe to our podcast today to receive our analysis and views every week. If you need to know more about the key themes impacting corporates, financial institutions and investors, our strategists offer their views on the latest trends. Subscribe today to get our latest economic analysis and financial market updates. 


Episode Date
Trade Links (episode 12): The big re-shoring puzzle
Jul 01, 2026
Property Perspectives: The Future of Real Estate with Richard Pickering
May 19, 2026
Trade Links: Brexit: 10 years on, what next for the UK-EU relationship?
May 12, 2026
Property Perspectives: Inside the UK Housing Market with Savill’s Lucian Cook
May 12, 2026
Property Perspectives: Industrial in Motion: Newmark on a Sector Built for Change
Apr 28, 2026
Property Perspectives: JLL on the Future of Offices: Rents, Regions & Reality
Apr 14, 2026
Property Perspectives: Finding value in retail with New River CEO Allan Lockhart
Apr 13, 2026
Trade Links (episode 10): The Iran war: what will peace look like?
Mar 24, 2026
Trade Links (episode 9): India's trade deal blitz and the future of the WTO
Mar 02, 2026
Trade Links (episode 8): Coercion, control and the Trade Links curse
Feb 03, 2026
Trade Links: Everything, everywhere, all at once - The Year Ahead 2026
Nov 26, 2025
Trade Links (episode 6): Commodity routes, and the risks that surround them
Oct 08, 2025
Trade Links (episode 5): The EU-US trade deal... stability and compromise?
Sep 19, 2025
Trade Links (episode 4): Treasury and trade special
Aug 08, 2025
Trade Links (episode 3): Technology, rare earths and the price of oil
Jul 10, 2025
Trade Links (episode 2): The end of globalisation?
Jun 13, 2025
Trade Links (episode 1): A short intro, and a deep dive into major themes
May 21, 2025
Property Perspectives: Building zero-carbon ready homes
Apr 15, 2025
Property Perspectives: How sustainable building practices impact commercial valuations
Apr 08, 2025
Property Perspectives: The retrofit experience
Apr 01, 2025
Property Perspectives: The importance of sustainability
Mar 18, 2025
Property Perspectives: The future of housing associations
Mar 18, 2025
The Year Ahead 2025: Rates markets and the fiscal cliffhanger
Nov 25, 2024
The Year Ahead 2025: A closer look at sterling and the US dollar in 2025
Nov 25, 2024
The Year Ahead 2025: Where to next for global climate policy and ESG?
Nov 25, 2024
The Year Ahead 2025: How elections will reshape the global economy
Nov 25, 2024
The Year Ahead 2025: How trade, protectionism and geopolitics will shape supply chains in 2025
Nov 25, 2024
Women in Sustainability Podcast: Episode 3
Jun 28, 2024
Women in Sustainability Podcast: Episode 2
May 07, 2024
What are the top geopolitical risks through 2024?
Mar 12, 2024
Women in Sustainability Podcast: International Women’s Day Special
Mar 08, 2024
The Year Ahead: Will companies invest or sit on the side-lines in 2024?
Nov 15, 2023
The Year Ahead: Could geopolitical tensions escalate in 2024?
Nov 15, 2023
The Year Ahead 2024: How resilient will financial markets remain in 2024?
Nov 15, 2023
The Big Questions: How should businesses approach deploying AI?
Oct 09, 2023
Corporate ESG 5 in 5 September
Sep 29, 2023
Policy & Regulation ESG 5 in 5 September
Sep 26, 2023
Financial Institution ESG 5 in 5 August
Aug 23, 2023
Corporate ESG 5 in 5 July
Aug 02, 2023
Corporate ESG 5 in 5 June
Jul 03, 2023
The Big Questions: Will AI supercharge the economy - or is it all just hype?
Jun 27, 2023
Corporate ESG May 5 in 5
Jun 05, 2023
The Big Questions: Were strains in the banking sector simply the start of something worse?
Apr 27, 2023
ISO 20022 Podcast with Ian Povey
Apr 26, 2023
Treasury Tomorrow: How digital assets will transform treasury
Apr 24, 2023
Corporate ESG March 5 in 5
Mar 28, 2023
Corporate ESG February 5 in 5
Mar 06, 2023
The Big Questions: How will the geopolitical landscape shape the economy longer term?
Mar 02, 2023
Treasury Tomorrow: How will automation change day-to-day operations?
Feb 09, 2023
Corporate ESG January 5 in 5
Feb 03, 2023
Treasury Tomorrow: how can treasury protect against cybersecurity threats?
Feb 02, 2023
The Big Questions: How will China's reopening affect the global economy longer term?
Jan 19, 2023
Corporate ESG December 5 in 5
Dec 22, 2022
Corporate ESG November 5 in 5
Dec 07, 2022
The Year Ahead: How will energy market shocks affect the greenification of the global economy?
Nov 17, 2022
The Year Ahead: How energy is fuelling the 2023 economic & market outlook
Nov 17, 2022
The Year Ahead: How will gas-fired inflation affect policymaking in 2023?
Nov 16, 2022
The Year Ahead: What are the major geopolitical risks to watch in 2023?
Nov 16, 2022
Private Finance November 5 in 5
Nov 13, 2022
Financial Institutions ESG October 5 in 5
Nov 07, 2022
Corporate ESG October 5 in 5
Oct 31, 2022
Corporate ESG September 5 in 5
Oct 07, 2022
Private Finance: September 5 in 5
Sep 26, 2022
EU Social Taxonomy: 5 in 5
Aug 23, 2022
Corporate ESG: July 5 in 5
Jul 28, 2022
FX Monthly Webinar - July 2022
Jul 20, 2022
Financial Institutions ESG: July 5 in 5
Jul 12, 2022
Corporate ESG: June 5 in 5
Jun 30, 2022
OnPoint: Inflation, rates, volatility and war - how corporates can navigate key fundraising risks
Jun 14, 2022
Corporate ESG: May 5 in 5
May 26, 2022
OnPoint: The future of supply chains in the post-pandemic economy
May 24, 2022
FX Big Picture Podcast - April 2022
Apr 13, 2022
ESG Horizons: The Prologis European Logistics Fund
Apr 13, 2022
Private Finance ESG: March 5 in 5
Apr 06, 2022
On Point: How corporate treasurers are navigating supply chain disruption in a “World of Shortages”
Mar 22, 2022
Corporate ESG: March 5 in 5
Mar 16, 2022
Financial Institutions ESG: February 5 in 5
Feb 24, 2022
Corporate ESG: February 5 in 5
Feb 11, 2022
Private Finance: ESG Securitisation 5 in 5
Jan 27, 2022
ESG Horizons: Iberdrola and the Puertollano Green Hydrogen Project
Jan 24, 2022
Corporate ESG: January 5 in 5
Jan 20, 2022
FX Big Picture Podcast – December 2021
Dec 16, 2021
ESG Horizons: Hitachi Capital (UK) driving the transition to clean transportation
Dec 16, 2021
The Year Ahead 2022: From Big Consumer to Big Fiscal – and how central banks will react to the transition
Nov 19, 2021
The Year Ahead 2022: The top themes dominating the corporate ESG landscape
Nov 19, 2021
The Year Ahead 2022: How greening the global economy could result in ‘greenflation’
Nov 19, 2021
The Year Ahead 2022: Why China’s ‘Common Prosperity’ policy has huge implications for the global economy
Nov 19, 2021
The Year Ahead 2022: How a “World of Shortages” will affect key sectors, regions, and markets
Nov 19, 2021
Private Finance ESG: November 5 in 5
Nov 18, 2021
ESG Horizons: TenneT and the 2GW Program
Oct 27, 2021
On Point: Integrating ESG into treasury and accelerating the transition to net-zero
Oct 26, 2021
Bondcast
Oct 21, 2021
The Weekly Watch
Oct 21, 2021
The Weekly Watch: how long will the fuel crisis last and what does it mean for markets?
Sep 30, 2021
Bondcast: how hauliers, energy prices, and politics are driving rates markets
Sep 29, 2021
Bondcast: central banks are getting spooked by inflation – should investors be worried?
Sep 24, 2021
The Weekly Watch: monetary policy hawks are circling – has the hiking & tightening outlook changed?
Sep 24, 2021
The Weekly Watch: what’s next in FX markets?
Sep 16, 2021
Bondcast: upcoming central bank meetings, European inflation and other potential surprises in rates
Sep 16, 2021
The Weekly Watch: US jobs, the taper timeline, and ECB spotlight
Sep 09, 2021
Bondcast: the ECB takes some PEPP out of its step – what does that mean for markets?
Sep 09, 2021
4 Qs for Q4: Beyond transitory – is this a new normal for inflation?
Sep 08, 2021
4 Qs for Q4: What does China’s new growth paradigm mean for emerging markets, trade & supply chains, and global FX?
Sep 08, 2021
4 Qs for Q4: In a race between the Delta variant, consumption, and the fiscal cliff, who wins?
Sep 08, 2021
4 Qs for Q4: How will the path of US monetary policy affect global markets?
Sep 08, 2021
The Weekly Watch: what’s next in markets?
Sep 03, 2021
FX Big Picture Podcast 7 - Central banks, rates and policy expectations
Sep 02, 2021
Bondcast: What could the upcoming ECB meeting & US jobs reports mean for markets?
Sep 02, 2021
The Weekly Watch: what China’s increasingly stringent regulation of the tech sector means for markets
Aug 26, 2021
Bondcast: should markets expect higher yields from here?
Aug 26, 2021
The Weekly Watch: what the latest UK economic data means for Sterling and other safe havens
Aug 20, 2021
Bondcast: labour, inflation, or politics – what’s ultimately going to move bond markets in September?
Aug 20, 2021
The Weekly Watch: how US inflation & jobs could affect tapering and the global risk landscape
Aug 12, 2021
Bondcast: as central banks gear up to tighten, will the economy throw markets a yield curveball?
Aug 12, 2021
Bondcast: monetary policy hawks are circling but bond yields are falling… why?
Aug 05, 2021
The Weekly Watch: what the Bank of England's August report means for markets
Aug 05, 2021
On Point: how data & technology are being used to improve ESG and achieve net-zero
Aug 04, 2021
The Weekly Watch: The Fed makes tapering the talk of the town again - what about timing?
Jul 30, 2021
Bondcast: summer calm before the autumn storm?
Jul 30, 2021
Podcast 7: The evolution of the spot FX market.
Jul 26, 2021
Bondcast: dovishness, Delta, and downward growth pressure – the three Ds to watch
Jul 23, 2021
The Weekly Watch: Delta variant concerns, the US dollar outlook & Fed preview
Jul 23, 2021
On Point: what does the Q3 economic & market outlook mean for corporates?
Jul 20, 2021
Bondcast: just how transitory is the ‘transitory inflation’ narrative?
Jul 16, 2021
The Weekly Watch: as synchronised global growth shifts to vaccine-driven divergence, where to for risk assets?
Jul 16, 2021
Mixed emotions: Q2 in review, and what’s in store in Q3 fundamentally and technically?
Jul 14, 2021
Next level digital treasury: the trends to watch & master
Jul 09, 2021
The Weekly Watch: a strong economic rebound is getting stronger - and raises the stakes for central banks
Jul 09, 2021
Bondcast: the role of oil in the inflation debate
Jul 08, 2021
The Weekly Watch: is inflation transitory or long-lasting?
Jul 02, 2021
On Point: managing treasury digitalisation, liquidity, and leverage in a post-pandemic economy
Jul 01, 2021
Bondcast: what markets might be missing about the pandemic
Jul 01, 2021
The COVID impact on supply chains. Although resilient, do supply chains need to be improved? At what cost, and impact on service?
Jun 29, 2021
Bondcast: what the latest Bank of England meeting means for you
Jun 28, 2021
June 2021: Re-start me up: Economies move to new unlocking phases
Jun 23, 2021
Bondcast: in a battle between flows and fundamentals, who wins?
Jun 18, 2021
The Weekly Watch: will the Bank of England follow the Fed on the hawkish path ahead?
Jun 18, 2021
Bondcast: sometimes, the best position is no position
Jun 11, 2021
The Weekly Watch: ECB hits copy & paste on policy, what does that mean longer-term?
Jun 11, 2021
The Weekly Watch: how could the uneven march of QE tapering affect currencies?
Jun 04, 2021
Bondcast: will (slightly) more hawkish central banks affect the forecast for taper season?
Jun 03, 2021
The Weekly Watch: the latest on tapering & spotlight on the UK
May 28, 2021
Bondcast: have we reached peak central bank dovishness?
May 27, 2021
The Weekly Watch: nothing is immune from the prospect of higher inflation – not even crypto
May 21, 2021
Bondcast: can higher yields, higher growth & higher inflation peacefully coexist?
May 20, 2021
May 2021: Flip the switch: Economics turn from ‘off to on’ as vaccines / unlocking provide a much needed boost
May 20, 2021
Central bank intervention in Foreign Exchange Markets – Why does it seem to be of diminishing prominence in recent years?
May 20, 2021
The Weekly Watch: what does the latest US jobs & inflation data say about the recovery longer term?
May 14, 2021
Bondcast: dismal US jobs data, the “everything down” trade in Europe & inflation surprises
May 13, 2021
The Weekly Watch: BOE spotlight & the forecast for ‘taper season’
May 07, 2021
Bondcast: QE tapering vs. monetary tightening – and why the difference matters for markets
May 07, 2021
On Point: what does the next tapering cycle mean for rates, currencies & growth-linked assets?
May 05, 2021
Bondcast: taper’s the talk of the town – what’s the right time to be bearish on rates?
Apr 30, 2021
The Weekly Watch: BOE spotlight & why the next central bank tapering cycle will be different
Apr 30, 2021
On Point: what China’s post-pandemic recovery means for the yuan, supply chains & corporates
Apr 28, 2021
Bondcast: the ECB’s missing message, higher UK inflation & US refunding update
Apr 23, 2021
The Weekly Watch: ECB keeps QE but BOC should get markets thinking about tapering elsewhere
Apr 23, 2021
The Weekly Watch: hey big spender – what the latest US data says about the recovery
Apr 16, 2021
Bondcast: will better growth & higher inflation bring bond bears out of hibernation?
Apr 15, 2021
April 2021: What to do? Will central banks respond to the rise in global yields, or are they a symptom of recovery expectations?
Apr 14, 2021
On Point: what does the Q2 economic & market outlook mean for corporates?
Apr 14, 2021
The Weekly Watch: data portends a strong economic recovery in Europe, what risks remain?
Apr 09, 2021
Bondcast: spotlight on the FOMC & ECB minutes and new UK supply in the offing
Apr 09, 2021
The Weekly Watch: more US stimulus is coming – how will that affect markets, growth & inflation?
Apr 01, 2021
Bondcast: what will drive bond supply in Q2?
Mar 31, 2021
The Weekly Watch: a better outlook for risk assets – but selectivity is key
Mar 26, 2021
Bondcast: how coronavirus-driven economic pattern disruption is affecting rates markets
Mar 26, 2021
Podcast 3: Bigger unknowns – how attitudes to large market events have changed
Mar 26, 2021
Bondcast: Bank of England and the Fed held their nerve – where to for rates?
Mar 19, 2021
The Weekly Watch: will central banks & markets finally converge on inflation?
Mar 19, 2021
March 2021: One more shot - UK & Europe head for lockdown loosening
Mar 15, 2021
The Weekly Watch: did the ECB fire the starting shot on taming yields?
Mar 12, 2021
Bondcast: the ECB blinked on rate volatility – will the Fed and the BoE follow suit?
Mar 12, 2021
On Point: what a Biden presidency means for UK & European businesses, trade, FX & rates
Mar 09, 2021
The Weekly Watch: central banks hold their nerve & spotlight on UK Budget 2021
Mar 05, 2021
Bondcast: a little more volatility, hints towards central bank responses, and UK budget spotlight
Mar 05, 2021
Podcast 2: Known unknowns: how markets digest information and data releases
Mar 04, 2021
The Weekly Watch: more taper tantrum talk & spotlight on the Fed
Feb 26, 2021
Bondcast: yields are rising everywhere – at what point will central banks push back?
Feb 25, 2021
Coming down again - what do falling infection rates mean for lockdown easing, recoveries & markets?
Feb 23, 2021
The Weekly Watch: a tone shift strikes markets & will reflation theme support continue?
Feb 19, 2021
Bondcast: big rates forecast changes in the UK & EU and the great inflation debate
Feb 18, 2021
Bondcast: why the US cash balance is a big deal & Italy won’t Draghi down sentiment
Feb 12, 2021
The Weekly Watch: US exceptionalism, reflation trades & spotlight on inflation
Feb 12, 2021
The Weekly Watch: USD strength, investor rotation, and why EU recovery pessimism is overdone
Feb 05, 2021
Bondcast – The Rates Podcast: US refunding, UK inflation & the great negative rates debate
Feb 05, 2021
FX Big Picture Podcast: Why would a corporate hedge currencies?
Feb 02, 2021
Bondcast – The Rates Podcast: why good (central bank) communication is key to a successful relationship
Jan 29, 2021
The Weekly Watch: vaccine hiccups, lockdown financials & spotlight Q&A on Brexit scarring
Jan 29, 2021
FOMC Preview with Kevin Cummins – January 2021
Jan 27, 2021
On Point: what the Biden presidency means for trade & business
Jan 27, 2021
The Weekly Watch: the Fed meets, market reactions & spotlight on US stimulus
Jan 22, 2021
Bondcast – The Rates Podcast: Italian political crisis, ECB meet, and negatives rates talk in the UK
Jan 22, 2021
The Weekly Watch: “Taper Tantrum” talk, ECB & BOJ meetings, political risk in Italy & USD spotlight
Jan 15, 2021
Brexit Watch: The deal is done – where next for the UK?
Jan 14, 2021
On Point Special: The Year Ahead – what ESG investors want
Jan 14, 2021
Bondcast –The Rates Podcast: steeper curves, higher rates & shifting inflation views – where next?
Jan 14, 2021
The Weekly Watch: Financial Market Updates
Jan 11, 2021
Bondcast – The Rates Podcast: US politics, Brexit, German elections & bond supply
Jan 08, 2021
The Weekly Watch: Financial Market Updates
Jan 04, 2021
On Point Special: The Year Ahead – life after Brexit
Dec 18, 2020
On Point Special: The Year Ahead – Coronavirus as a differentiator
Dec 18, 2020
On Point Special: The Year Ahead – fiscal forever, even in Europe
Dec 18, 2020
On Point Special: The Year Ahead – inflation risks will tilt higher
Dec 18, 2020
The Year Ahead series: macro-isation of ESG – sustainable finance goes mainstream
Dec 18, 2020
On Point Special: The Year Ahead – the rates outlook in 2021
Dec 18, 2020
The Year Ahead series: The global economy in 2021 - things can only get better
Dec 17, 2020
The Weekly Watch: Financial Market Updates
Dec 07, 2020
Year Ahead series: Big themes shaping the new now and key market calls for 2021
Dec 07, 2020
The Weekly Watch: Financial Market Updates
Nov 30, 2020
The Weekly Watch: Financial Market Updates
Nov 23, 2020
On Point: Brexit update
Nov 17, 2020
The Weekly Watch: Financial Market Updates
Nov 16, 2020
Bondcast
Nov 11, 2020
The Weekly Watch: Financial Market Updates
Nov 09, 2020
US Election Watch: Election Day Dynamics
Nov 03, 2020
The Weekly Watch: Financial Market Updates
Nov 02, 2020
Bondcast | The Rates Podcast
Oct 29, 2020
US Election Watch: Latest predictions ahead of Election Day
Oct 29, 2020
The Weekly Watch: Financial Market Updates
Oct 26, 2020
On Point: Brexit update
Oct 20, 2020
The Weekly Watch: Financial Market Updates
Oct 19, 2020
US Election Watch: Geopolitics: Unilateralism vs. Multilateralism
Oct 16, 2020
On Point: global economic forecasts & fiscal yin-yang
Oct 13, 2020
The Weekly Watch: Financial Market Updates
Oct 13, 2020
The latest in Europe’s green finance market
Oct 08, 2020
The Weekly Watch: Financial Market Updates
Oct 05, 2020
US Election Watch: Replacing RBG
Sep 29, 2020
The Weekly Watch: Financial Market Updates
Sep 28, 2020
US Election Watch: The case against an election delay
Sep 25, 2020
What will the global recovery look like and what’s the impact for Foreign Exchange markets?
Sep 21, 2020
Brexit update & UK economic outlook
Sep 21, 2020
The Weekly Watch: Financial Market Updates
Sep 21, 2020
The Weekly Watch: Financial Market Updates
Sep 14, 2020