T. Rowe Price: Conversations

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The T. Rowe Price Conversations audio podcast series brings you timely discussions and insights from our investment team on the economy and financial markets. Listen to one-on-one conversations with our experts who share their latest thinking and put this knowledge to work for you.

T Rowe Price


    • Dec 12, 2017 LATEST EPISODE
    • infrequent NEW EPISODES
    • 8m AVG DURATION
    • 54 EPISODES


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    Latest episodes from T. Rowe Price: Conversations

    U.S. Equities: Tempering Expectations for an Aging Bull Market

    Play Episode Listen Later Dec 12, 2017 6:58


    Investors should temper their expectations for equity returns amid elevated valuations and peak profit margins, but several positive trends could support further market gains.

    Global Economy: Global Growth Expected to Slow in 2018

    Play Episode Listen Later Dec 12, 2017 7:42


    For the first time since the global financial crisis, the U.S., Europe, and China are on a solid growth path with improving employment trends, but the pace of growth is expected to slow in 2018.

    U.S. Equities: Tempering Expectations for an Aging Bull Market

    Play Episode Listen Later Dec 12, 2017 6:58


    Investors should temper their expectations for equity returns amid elevated valuations and peak profit margins, but several positive trends could support further market gains.

    Global Economy: Global Growth Expected to Slow in 2018

    Play Episode Listen Later Dec 12, 2017 7:42


    For the first time since the global financial crisis, the U.S., Europe, and China are on a solid growth path with improving employment trends, but the pace of growth is expected to slow in 2018.

    November 2017 - The Outlook For International Investing

    Play Episode Listen Later Dec 11, 2017 8:33


    Several structural factors for international markets are likely to remain supportive, but these developments are already priced into markets and valuations generally remain above average. Investors should expect more volatility in 2018.

    November 2017 - The Outlook For Technology Investing

    Play Episode Listen Later Dec 11, 2017 8:44


    Technology innovation is driving an accelerated rate of change, and the biggest winners have catapulted to unprecedented value. These trends are likely to continue, providing many attractive opportunities for investors.

    November 2017 - The Outlook For Global, High-Income Bond Investing

    Play Episode Listen Later Dec 11, 2017 7:45


    Fixed income strategies were successful in 2017 but fixed income investors should expect a more challenging year in 2018 as interest rates rise and central banks begin withdrawing liquidity.

    November 2017 - The Outlook For International Investing

    Play Episode Listen Later Dec 11, 2017 8:33


    Several structural factors for international markets are likely to remain supportive, but these developments are already priced into markets and valuations generally remain above average. Investors should expect more volatility in 2018.

    November 2017 - The Outlook For Technology Investing

    Play Episode Listen Later Dec 11, 2017 8:44


    Technology innovation is driving an accelerated rate of change, and the biggest winners have catapulted to unprecedented value. These trends are likely to continue, providing many attractive opportunities for investors.

    November 2017 - The Outlook For Global, High-Income Bond Investing

    Play Episode Listen Later Dec 11, 2017 7:45


    Fixed income strategies were successful in 2017 but fixed income investors should expect a more challenging year in 2018 as interest rates rise and central banks begin withdrawing liquidity.

    March 2017—Outlook for Dividend Growth Investing

    Play Episode Listen Later Mar 27, 2017 5:30


    With historically low interest rates expected to persist, dividend growth investing remains an attractive strategy, according to Tom Huber, manager of the T. Rowe Price Dividend Growth Fund.

    March 2017—Outlook for Dividend Growth Investing

    Play Episode Listen Later Mar 27, 2017 5:30


    With historically low interest rates expected to persist, dividend growth investing remains an attractive strategy, according to Tom Huber, manager of the T. Rowe Price Dividend Growth Fund.

    March 2017—Bond Outlook Favors Global Diversification

    Play Episode Listen Later Mar 7, 2017 5:13


    With the Federal Reserve normalizing U.S. interest rates, active management and global diversification are becoming more important for fixed income investors, says Chris Dillon, a T. Rowe Price global fixed income portfolio specialist.

    March 2017—Bond Outlook Favors Global Diversification

    Play Episode Listen Later Mar 7, 2017 5:13


    With the Federal Reserve normalizing U.S. interest rates, active management and global diversification are becoming more important for fixed income investors, says Chris Dillon, a T. Rowe Price global fixed income portfolio specialist.

    March 2017 - Favorable Outlook for Small-Cap Investing

    Play Episode Listen Later Mar 1, 2017 7:15


    Although small cap indices have been hitting record highs, the outlook remains favorable, says David Wagner, manager of the T. Rowe Price Small-Cap Value Fund.

    March 2017 - Favorable Outlook for Small-Cap Investing

    Play Episode Listen Later Mar 1, 2017 7:15


    Although small cap indices have been hitting record highs, the outlook remains favorable, says David Wagner, manager of the T. Rowe Price Small-Cap Value Fund.

    January 2017 - Domestic Equity Market Outlook

    Play Episode Listen Later Feb 1, 2017 9:23


    Larry Puglia, U.S. equity portfolio manager, discusses how the fundamental environment for equity investing could remain favorable, but uncertainty over President Donald J. Trump's policies poses risks.

    January 2017 - Emerging Markets Equity Outlook

    Play Episode Listen Later Feb 1, 2017 8:48


    Gonzalo Pángaro, emerging markets equity portfolio manager, discusses how rising U.S. interest rates are a headwind for emerging markets, but investors may do well if rates rise at a gradual pace and inflation remains moderate.

    January 2017 - Global Bond Market Outlook

    Play Episode Listen Later Feb 1, 2017 8:50


    Steve Huber, fixed income portfolio manager, discusses how U.S. interest rates are likely to rise further early this year, but credit sectors tend to perform relatively well in a period of gradually rising rates.

    January 2017 - Domestic Equity Market Outlook

    Play Episode Listen Later Feb 1, 2017 9:23


    Larry Puglia, U.S. equity portfolio manager, discusses how the fundamental environment for equity investing could remain favorable, but uncertainty over President Donald J. Trump's policies poses risks.

    January 2017 - Emerging Markets Equity Outlook

    Play Episode Listen Later Feb 1, 2017 8:48


    Gonzalo Pángaro, emerging markets equity portfolio manager, discusses how rising U.S. interest rates are a headwind for emerging markets, but investors may do well if rates rise at a gradual pace and inflation remains moderate.

    January 2017 - Global Bond Market Outlook

    Play Episode Listen Later Feb 1, 2017 8:50


    Steve Huber, fixed income portfolio manager, discusses how U.S. interest rates are likely to rise further early this year, but credit sectors tend to perform relatively well in a period of gradually rising rates.

    April 2016 - Coping with Stock Market Volatility

    Play Episode Listen Later Apr 8, 2016 5:54


    Judith Ward, a senior financial planner, discusses strategies on how investors need to maintain a long-term perspective to cope with stock market volatility. A well-diversified portfolio can help weather market downturns.

    April 2016 - Despite Rally, a Challenging Environment for U.S. Equity Investors

    Play Episode Listen Later Apr 8, 2016 8:32


    Timothy Murray, a global allocation specialist, discusses the equity market environment and asset allocation strategy. Although the U.S. equity markets have staged a strong rally since bottoming in mid-February, investors face stiff challenges ahead.

    April 2016 - No Recession in the Cards for U.S. Economy

    Play Episode Listen Later Apr 8, 2016 8:19


    Chief U.S. Economist Alan Levenson discusses the probability of a U.S. recession this year and that it remains low. The economy is not overextended in terms of the unemployment rate, and corporate profit margins remain firm.

    April 2016 - Coping with Stock Market Volatility

    Play Episode Listen Later Apr 8, 2016 5:54


    Judith Ward, a senior financial planner, discusses strategies on how investors need to maintain a long-term perspective to cope with stock market volatility. A well-diversified portfolio can help weather market downturns.

    April 2016 - Despite Rally, a Challenging Environment for U.S. Equity Investors

    Play Episode Listen Later Apr 8, 2016 8:32


    Timothy Murray, a global allocation specialist, discusses the equity market environment and asset allocation strategy. Although the U.S. equity markets have staged a strong rally since bottoming in mid-February, investors face stiff challenges ahead.

    April 2016 - No Recession in the Cards for U.S. Economy

    Play Episode Listen Later Apr 8, 2016 8:19


    Chief U.S. Economist Alan Levenson discusses the probability of a U.S. recession this year and that it remains low. The economy is not overextended in terms of the unemployment rate, and corporate profit margins remain firm.

    January 2016 - China Tremors Create Opportunities and Risks

    Play Episode Listen Later Jan 25, 2016 11:41


    Nick Beecroft, a portfolio specialist for Asia ex-Japan equities, discusses how global markets have been ambushed by recent events in China but says this does not change the firm's positive, longer-term view for investing in China or Asia more broadly.

    January 2016 - China Tremors Create Opportunities and Risks

    Play Episode Listen Later Jan 25, 2016 11:41


    Nick Beecroft, a portfolio specialist for Asia ex-Japan equities, discusses how global markets have been ambushed by recent events in China but says this does not change the firm's positive, longer-term view for investing in China or Asia more broadly.

    October 2015 - Part 2: Despite China Slowdown, Asia Seems Poised for Recovery

    Play Episode Listen Later Oct 9, 2015 7:54


    Nick Beecroft, a portfolio specialist for Asia ex-Japan equities, sees several positive trends on the horizon, and the recent sell-off has created many attractive investment opportunities.

    October 2015 - Part 1: Despite China Slowdown, Asia Seems Poised for Recovery

    Play Episode Listen Later Oct 9, 2015 7:52


    Nick Beecroft, a portfolio specialist for Asia ex-Japan equities, sees several positive trends on the horizon, and the recent sell-off has created many attractive investment opportunities.

    October 2015 - Part 2: Despite China Slowdown, Asia Seems Poised for Recovery

    Play Episode Listen Later Oct 9, 2015 7:54


    Nick Beecroft, a portfolio specialist for Asia ex-Japan equities, sees several positive trends on the horizon, and the recent sell-off has created many attractive investment opportunities.

    October 2015 - Part 1: Despite China Slowdown, Asia Seems Poised for Recovery

    Play Episode Listen Later Oct 9, 2015 7:52


    Nick Beecroft, a portfolio specialist for Asia ex-Japan equities, sees several positive trends on the horizon, and the recent sell-off has created many attractive investment opportunities.

    October 2015 - Emerging Market Bonds: The Contrarian Play for 2016?

    Play Episode Listen Later Oct 8, 2015 7:06


    Mike Conelius, manager of the Emerging Markets Bond Fund, discusses why improving fundamentals and higher yields should support an emerging market bonds performance rebound in 2016.

    October 2015 - Fed Not Seen as a Big Threat to Muni Bonds

    Play Episode Listen Later Oct 8, 2015 6:04


    Hugh McGuirk, head of T. Rowe Price's Municipal Bond Department, does not expect the pace or magnitude of Fed rate hikes to pose a significant threat to municipal bond prices.

    October 2015 - Emerging Market Bonds: The Contrarian Play for 2016?

    Play Episode Listen Later Oct 8, 2015 7:06


    Mike Conelius, manager of the Emerging Markets Bond Fund, discusses why improving fundamentals and higher yields should support an emerging market bonds performance rebound in 2016.

    October 2015 - Fed Not Seen as a Big Threat to Muni Bonds

    Play Episode Listen Later Oct 8, 2015 6:04


    Hugh McGuirk, head of T. Rowe Price's Municipal Bond Department, does not expect the pace or magnitude of Fed rate hikes to pose a significant threat to municipal bond prices.

    October 2015 - Opportunities and Challenges for Global Bond Investors

    Play Episode Listen Later Oct 2, 2015 9:26


    Steve Huber, manager of the Global Multi-Sector Bond Fund, does not expect long-term rates to change significantly and sees opportunities globally with central banks in different phases of monetary policy.

    October 2015 - Opportunities and Challenges for Global Bond Investors

    Play Episode Listen Later Oct 1, 2015 9:26


    Steve Huber, manager of the Global Multi-Sector Bond Fund, does not expect long-term rates to change significantly and sees opportunities globally with central banks in different phases of monetary policy.

    September 2015 - New MarketScene(SM) App

    Play Episode Listen Later Sep 11, 2015 6:36


    John Halaby, head of the Financial Advisor segment in the U.S. Investment Services division, discusses the new Market Scene app developed for financial advisors.

    September 2015 - New MarketScene(SM) App

    Play Episode Listen Later Sep 11, 2015 6:36


    John Halaby, head of the Financial Advisor segment in the U.S. Investment Services division, discusses the new Market Scene app developed for financial advisors.

    August 2015 - A Perspective on China and Global Market Volatility

    Play Episode Listen Later Aug 25, 2015 12:08


    Eric Moffett, equity portfolio manager, and Chris Kushlis, fixed income sovereign analyst, discuss how China's ongoing economic transformation could be constructive for investors.

    August 2015 - A Perspective on China and Global Market Volatility

    Play Episode Listen Later Aug 25, 2015 12:08


    Eric Moffett, equity portfolio manager, and Chris Kushlis, fixed income sovereign analyst, discuss how China's ongoing economic transformation could be constructive for investors.

    July 2015 - Diversifying With International Small-Cap Stocks

    Play Episode Listen Later Jul 15, 2015 7:35


    Jason White, a portfolio specialist for international equities, discusses the outlook for investing in small-cap stocks in international markets.

    July 2015 - Diversifying With International Small-Cap Stocks

    Play Episode Listen Later Jul 15, 2015 7:35


    Jason White, a portfolio specialist for international equities, discusses the outlook for investing in small-cap stocks in international markets.

    June 2015 - Donor-Advised Funds: The Fastest-Growing Vehicle in Philanthropy

    Play Episode Listen Later Jun 25, 2015 9:04


    James Riepe, chairman of The T. Rowe Price Program for Charitable GivingSM, discusses donor-advised funds and the advantages to consider as well as common misconceptions.

    June 2015 - Donor-Advised Funds: The Fastest-Growing Vehicle in Philanthropy

    Play Episode Listen Later Jun 25, 2015 9:04


    James Riepe, chairman of The T. Rowe Price Program for Charitable GivingSM, discusses donor-advised funds and the advantages to consider as well as common misconceptions.

    May 2015 - A Cautious Outlook for U.S. Equity Markets

    Play Episode Listen Later May 29, 2015 9:40


    David Giroux, portfolio manager of the T. Rowe Price Capital Appreciation Fund, discusses why he is not optimistic on the near-term outlook for the U.S. stock market.

    May 2015 - A Cautious Outlook for U.S. Equity Markets

    Play Episode Listen Later May 29, 2015 9:40


    David Giroux, portfolio manager of the T. Rowe Price Capital Appreciation Fund, discusses why he is not optimistic on the near-term outlook for the U.S. stock market.

    April 2015 - Investing in Emerging Market Corporate Debt

    Play Episode Listen Later Apr 16, 2015 9:09


    Samy Muaddi, a portfolio manager for the Emerging Markets Corporate Bond Strategy, discusses the opportunities and risks of investing in this fast-growing asset class.

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