Topics covered:
* Systematic vs. discretionary macro investing
* Andy’s Four-Pillar Framework: growth, inflation, risk premia, and flows
* How AI CapEx is driving growth — and what happens when it stops
* Tariffs, policy shifts, and their impact on inflation and growth
* The Fed’s independence and what it means for markets
* Risk premia, volatility, and asset allocation in uncertain environments
* How major flows and corporate buybacks shape market direction
* Why Andy sees a “digital” macro environment with binary outcomes
Timestamps:
00:00 Intro and setup
02:00 Systematic vs. discretionary macro investing
14:00 The Four-Pillar Framework explained
22:00 Growth outlook and AI-driven CapEx boom
33:00 The real impact of tariffs on the economy
39:00 Thinking in probabilities and constructing macro portfolios
40:00 Fed independence and policy alignment
47:00 Labor market dynamics and AI uncertainty
48:30 Risk premia and asset allocation
56:00 Flows, buybacks, and corporate debt
01:00:00 What Andy’s watching next
01:06:00 Why macro outcomes have never been more digital

