Biography
Main responsibilities
Alex is a macro strategist within the investment strategy team, playing a supporting role in the formation of our macro “House View” and its ensuing risks. Alex’s main roles lie in monitoring and analysing macroeconomic, market and policy developments within the G10 economies. Alex’s focus is largely concentrated within Rates and FX markets, whilst also formulating top-down equity views.
Experience and qualifications
Alex began his career at Aviva Investors. He holds a BSc in Economics and an MSc in Finance and Investment, both from the University of York. He is also a CFA Charterholder.