Marcus has been a Research Analyst and Editor at Informa Global Markets (IGM) since 2010. He primarily looks at the global macroeconomic landscape, monetary policy and the impact on global rates, foreign exchange and commodity markets thrown in. Prior to IGM, Marcus spent 10-years producing live business and financial TV programmes at CNBC and Bloomberg, during which time he also attained a Masters with Distinction in Economics. Marcus has specialised in the following areas: US, Eurozone, UK economic data/macroeconomic policy implications for global asset markets, plus financial economics and properties of time series. At Informa Global Markets, Marcus holds the role of Senior Editor/Analyst, where he is required to write and copy edit analytical pieces plus 600-2000 word special studies on economic data/macroeconomic policy and implications for global financial markets. He writes the ‘IGM Weekly’ G10 FI/FX markets outlook, and the ‘IGM Monthly Interest Rate Outlook’ (G10 plus Emerging Markets).
Metals and MiningEnergy
Multi AssetFixed Income/CreditCommodityETF/FundsFXEquity