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Market Strategy

Conference Call Replay: Asset-Class Implications of QE2

RGE's Chairman Nouriel Roubini and Arnab Das, RGE's managing director of market research and strategy—along with the RGE Strategy Team—hosted a conference call to discuss the asset-class implications of the second round of quantitative easing (QE2) as it becomes more certain that the Fed will attempt to inject new life and liquidity into the struggling U.S. economy. Specific asset classes discussed during the call included fixed income, equities, credit, commodities and currencies—with each RGE strategist focusing on the impact that QE2 could have on each class.

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