Daniel von Ahlen joined TS Lombard in July 2024 and is responsible for our Macro Strategy research. He concentrates on the development of macro themes and multi asset trade idea generation across major asset classes with a particular focus on global fixed income and currencies. He has a proven track record of successful trades. Daniel is the lead author of our weekly Macro Strategy and contributes to Asset Allocation and Strategy Chartbook.
His previous work experience spans positions at the sell-side, the buy-side and independent research, most recently at Oxford Economics. He holds an M. Sc. in Economics from Kiel University.
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