The asset manager for a changing world
  • Home
  • Guillermo Felices

Guillermo Felices

 

Guillermo Felices is the Head of Research and Strategy in the Multi-Asset team at MAQS (Multi-Asset, Quantitative and Solutions) and a member of the Multi-Asset Investment Committee (IC) at BNP Paribas Asset Management. He is responsible for articulating cross-asset views and investment ideas for the IC. He joined the firm in early 2017 and has 17 years of market-related experience, including sell-side research and policymaking. In his most recent role he was head of Asset Allocation Research for Europe at Barclays, joining in 2011 as head of Foreign Exchange Strategy for Europe. Prior to this he was a Senior Global Macro Strategist at Citi, having previously been a Senior Economist at the Bank of England from 2002 to 2007. Guillermo holds a PhD and an MA in Economics from New York University (Fulbright Scholar) and he received his BA in Economics from Universidad del Pacifico in Lima, Peru. He was also a Research Fellow in the Institute of Global Affairs at the London School of Economics and Political Science. His research has been published in books and academic journals and his commentary appears regularly in the global financial press (including the FT, the Economist, the WSJ, Reuters, Bloomberg and CNBC). Guillermo is based in London.

Investments in the aforementioned fund are subject to market fluctuation and risks inherent in investing in securities. The value of investments and the revenue they generate can increase or decrease and it is possible that investors will not recover their initial investment. Source: BNP Paribas Asset Management.

UCITS OFFER NO GUARANTEED RETURNS AND PAST PERFORMANCES DO NOT GUARANTEE FUTURE ONES