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Ep. 222: Boris Vladimirov on US Exceptionalism, Europe Risks and China Weakness

Retrieved on: 2024-06-28 15:13:46

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The article discusses a podcast episode where Boris Vladimirov, managing director at Goldman Sachs, addresses macroeconomic issues, including the impact of US elections on debt, highlighting connections to topics like hedge funds, primary dealers, and the subprime mortgage crisis.

Article found on: macrohive.com

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