Fixed Income Future Leaders USA 2017

May 16 - 18, 2017

Westin Copley Place - Boston

+44 (0)207 368 9330

 Marc Chandler
Marc Chandler Head of FX Strategy Brown Brothers Harriman
Marc Chandler has 30 years of experience in the FX market, starting his current role at BBH in 2005 as Global Head Of Currency Strategy. His current research projects include global imbalance and the relationship between savings, investment and growth. Marc is often called upon to provide macro-economic expertise on CNBC and Bloomberg amongst other media.


Day 1- Wednesday May 17th 2017

1:40 PM Geo-political risk and deglobalisation- How can you exploit political drivers in 2017 to generate returns for your portfolio?

  • How has recent geo-political uncertainly impacted market volatility and what impact does this have in fixed income investing?
  • With heightened political instability in both developed and emerging markets, what impact does this have on fixed income markets?
  • What do the major elections in Europe mean for the Eurozone on the back of Brexit- Is there a risk of further break-up?
  • Geo-political landscape from a risk management perspective- How can you structure a profitable portfolio on top of this?
  • Learning from past events- How can you use lessons from recent political events to best handle the unbalanced risks associated with major events in 2017?