The Great Rotation – Time to be Macro Mindful
Filters
In-depth coverage on specific assets, markets, or thematic topics. Explore trends, regimes, and exposures.
Identify price dislocations, opportunities, regimes and sensitivities
1. USTs. Flows > Macro
2. EM ex-China – Amber sign ?
3. NZDJPY downside for the “buy Japan” trade
The Kitchen vs. The Menu – Defining a Macro Regime for Crowding
1. Staples vs. Discretionary - Rotation or Overshoot?
2. IBEX vs. DAX – The Growth Divergence No One is Trading
3. EURCAD – Quiet setup, but a signal emerges
1. Credit Overshoot?
2. Time to take the other side of the “broadening” trade?
3. US Energy – Early Leadership, Late Entry?
In-depth coverage on specific assets, markets, or thematic topics. Explore trends, regimes, and exposures.
US Small Caps: Sharpe at Multi-Year Highs — Macro Tailwinds or Complacency?
US Equity L/S: The Short Squeeze Puzzle of January 2026
Identify price dislocations, opportunities, regimes and sensitivities
1. XLB – Valuation Fatigue?
2. Run It Hot — But Pick the Right Cyclical
3. Aussie fx Upside. Right story, Wrong price.
The Macro Bet Behind Value
1. US Cyclicals Rotation in Rich Territory
2. USDJPY – Politics Pushed it Too Far
3. Systemic vs. Idio – Credit is the Biggest Tell
1. Rate sensitive vs bond proxy stocks – too far, too fast?
2. EURGBP –upside risks
3. EM bonds –trend break or pause that refreshes?
Can Equities & Rates Still Rise Together?
Qi’s Macro Risk Model Says — Not Right Now.