Eric Robertsen

Global Head of Research, Chief Strategist

Eric is the Head of Global Research and Chief Strategist. In addition to managing the Global Research business, he focuses on developing and implementing investment and trading strategies across all the major asset classes, including FX, rates and commodities. This also includes exploring global macro investment themes and their implications for asset allocation and portfolio management. He joined the Bank in 2014 from Millennium Capital Partners in London. He previously held roles in global macro strategy and portfolio management at Deutsche Bank, and has presented at numerous investor conferences.

Eric holds an economics degree from Princeton University.


Financial markets and US policy – what will the US election bring?

Ahead of the US election, we look at the implications of the three possible scenarios: a Biden victory, a Trump…

| 2 Oct 2020

Surviving the cash crisis: An outlook on capital markets and liquidity

As economies begin to emerge out of lockdown, what is the outlook on liquidity for businesses and investors and where…

| 22 Jun 2020

Recovery scenarios: Ways out of the maze

At the start of Q1, we called this the worst of economic times. Little has transpired since to contradict this.…

| 27 May 2020