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Global Rates Midyear Outlook – Webinar

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BI's global interest rate strategists will update their outlook for the global developed government bond and related markets. As central banks are forced to remain hawkish to fight rising consumer and producer prices, the risk poised by slowing growth creates a conundrum as monetary policy is raised. In the US, the Federal Reserve looks like it can ignore its full employment mandate for the moment, which allows it to focus singularly on inflation. Other central banks are now following the Fed, even Canada which was early to tighten monetary policy. The ECB hasn’t increased interest rates in well over a decade but is poised to begin its cycle, while the Bank of England has already started its policy tightening.

Speakers

Ira Jersey

Chief U.S. Interest Rate Strategist

Bloomberg Intelligence

Ira Jersey is the chief U.S. interest rate strategist at Bloomberg Intelligence. He provides both top-down and bottom-up perspectives on U.S. Treasury, money markets and related derivative products. Before joining Bloomberg, he was a strategist for the taxable fixed income teams at Oppenheimer Funds. He spent more than decade in fixed income research at Credit Suisse Securities, most recently as the head of U.S. interest rate strategy, and RBC Capital Markets. Early in his career he held positions at Morgan Stanley Dean Witter and the Vanguard Group.

Angelo Manolatos

Associate Analyst, Rates

Bloomberg Intelligence

Angelo Manolatos is an associate on the U.S. Interest Rates Strategy team for Bloomberg Intelligence. Angelo joined Bloomberg Intelligence in 2018 and his focus includes both U.S. Rates and the Government of Canada bond market. Angelo completed his undergraduate studies at Villanova University's School of Business in 2018.

Huw Worthington

European Rates Analyst

Bloomberg

Huw Worthington is European Rates Analyst at Bloomberg Intelligence. Based in London, Huw has more than 20 years of experience covering developed European Rates markets. Prior to joining Bloomberg in 2018, Huw was European Rates Strategist at Barclays Capital. Prior to Barclays Huw was a Stockbroker for Charterhouse Securities from 1991 to 1999. Huw holds a bachelor's degree in Economics from the University of Birmingham and a Master of Business Administration from Manchester Business School.

Stephen Chiu

Chief Asia FX and Rates Strategist

Bloomberg Intelligence

Stephen Chiu joined Bloomberg Intelligence's FICC team on June 3, 2019 and was promoted to Chief Asia FX and Rates Strategist in November 2021. Before joining Bloomberg, Stephen acquired FX/rates trading and research experience at Bank of Tokyo-Mitsubishi UFJ. (2010-2016), and furthered his FX research career at China Construction Bank (Asia) (2016-2019).

Stephen holds a Bachelor's degree in Physics (First Class Honours) from the University of Oxford and a Master's degree in Finance (Distinction) from Imperial College London. Stephen also earned the Chartered Financial Analyst (CFA) membership in 2014.

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