{"version":"1.0","type":"rich","provider_name":"Acast","provider_url":"https://acast.com","height":250,"width":700,"html":"<iframe src=\"https://embed.acast.com/$/74715c1d-098c-441c-a141-5599d9dd67ae/6776acc1a1ad7348eb3f283f?\" frameBorder=\"0\" width=\"700\" height=\"250\"></iframe>","title":"Markets risk complacency on the Trump trade","thumbnail_width":200,"thumbnail_height":200,"thumbnail_url":"https://open-images.acast.com/shows/621e276f56506ffbab0e666b/1735830714536-43964e17-197e-497e-8fd5-118b31e63653.jpeg?height=200","description":"<p>In this episode of the FT Adviser podcast we look at the year ahead for investments and explore the potential impact of monetary policy, president Trump and geo-politics on global markets and asset classes.</p><p>The guests are Mitch Reznick, head of fixed income at Federated Hermes Limited, Neil Goddin, head of equities and multi-asset at Aegon Asset Management, and George Fox from the Merlin multi-asset team.</p>","author_name":"FTAdviser"}