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Macro Strategy

Rosenblatt’s Macro Strategy consists of daily reports from our Chief Market Strategist Brian Reynolds, CFA. He looks at the major factors that are driving equity prices in order to determine the outlook for the equity market. While these factors include things such as fundamental, technical and economic aspects, the last 20 years of booms and busts have mainly been driven by credit-related factors, to which Brian brings a unique perspective.

Brian Reynolds, CFA, Chief Market Strategist

Brians’ specialty is relating how events in credit and credit derivatives markets will affect equities. With 28 years of experience in money and credit markets, on both the buy- and sell-side, he has earned a reputation for keeping investors on the right side of increasingly violent market moves, particularly since the 2008 financial crisis. To view a sample of Brian's daily market strategy report, please click here.

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