2018 will go down as one of the most pivotal for financial markets since the financial crisis. We saw the return of significant volatility, amid poor returns in several asset classes. On this week's episode, host Joe Weisenthal speaks with Bloomberg macro strategist Cameron Crise and cross-asset reporter Luke Kawa about the key themes we saw this year.

How LA Is Quietly Becoming America's New Industrial Tech Hub
36:04

Introducing: Bloomberg Money
00:30

A Goldman M&A Banker Helped Bring the Olympics to Los Angeles
32:50