Diana Iovanel is an Economist in the Global Markets team at Capital Economics. She joined the firm in August 2022 from bfinance, where she worked in investment manager selection across asset classes, with a focus on equity and fixed income. Before that, she worked at East Capital Asset Management in equity research and, prior to that, at Russell Investments in multi-manager portfolio construction and equity manager research. She holds an M.Sc. in Economics from Stockholm School of Economics and a B.A. in Economics from University College London.
Global Markets Outlook
Amid banking turmoil, outlook for “risky” assets seems bleak
The recent turmoil in the global banking sector have sent ripples through financial markets. So far, a full-blown financial crisis doesn’t seem likely to us, although clearly any escalation would add...