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Ep. 221: Vasileios Gkionakis on European Election Fallout, Fed and Fiscal Risks

Ep. 221: Vasileios Gkionakis on European Election Fallout, Fed and Fiscal Risks

Released Friday, 21st June 2024
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Ep. 221: Vasileios Gkionakis on European Election Fallout, Fed and Fiscal Risks

Ep. 221: Vasileios Gkionakis on European Election Fallout, Fed and Fiscal Risks

Ep. 221: Vasileios Gkionakis on European Election Fallout, Fed and Fiscal Risks

Ep. 221: Vasileios Gkionakis on European Election Fallout, Fed and Fiscal Risks

Friday, 21st June 2024
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Vasileios is Head of Europe Economics and Strategy at Aviva Investors – a £226bn global asset management firm. Based in London, he is responsible for monitoring and analysing macroeconomic developments and markets as well as formulating major asset class views, leading research and strategy in the UK and Europe. Previously, he held senior research roles at Citigroup, Lombard Odier, UniCredit Bank, BofA, Merrill Lynch, and Fulcrum Asset Management. In this podcast, we discuss the UK election impact, UK inflation and BoE cuts, comparing UK and European mortgage rates, and much more. 

 

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