George Goncalves - US Rates and Macro Outlook

The Center for Global Business Programs (CGBP) Speaker Series

"US Rates and Macro Outlook"
with Mr. George Goncalves
Chief Fixed Income Rates Strategist, Cantor Fitzgerald Debt Capital Markets


Wednesday, November 18, 2009
2:30 p.m.
Room W-513
1 Pace Plaza, NYC




George Goncalves is Managing Director and Head of the Rates Strategy effort at Cantor Fitzgerald. Mr. Goncalves has over 10 years of experience in the bond market. Prior to joining Cantor, he held similar fixed income research positions at Morgan Stanley and Banc of America Securities - Merrill Lynch. Prior to becoming a strategist, Mr. Goncalves was an assistant fixed income portfolio manager with Merrill Lynch Asset Management, where he focused on the front-end of the curve and money market products.

Mr. Goncalves uses a combination of economic fundamentals, global macro flows and technical insights to make strategic portfolio and tactical trade recommendations across the US Treasury, Agency/MBS and inflation markets.

In 2007, Mr. Goncalves was voted one of the top twenty rising fixed income professionals worldwide in the inaugural "Rising Stars" survey by Institutional Investor. Mr. Goncalves graduated from Rutgers School of Management in 1998 with a finance and economics degree.

Sponsored by the Center for Global Business Programs

[George Goncalves]
Dr. Claudia Green introduces our guest speaker Mr. George Goncalves.
 
[George Goncalves]
Mr. George Goncalves discusses macro-economic factors and their effect on predicted bond rates.
 
[George Goncalves]
Mr. George Goncalves further discusses macro-economic factors and their effect on predicted bond rates.
 
[George Goncalves]
Mr. George Goncalves addresses a student question.
 
[George Goncalves]
Mr. George Goncalves and Mr. John Meletiadis discuss the lecture.
 
[George Goncalves]
Members of the Center for Global Business Team: Dr. Claudia Green, Nicole Biscardi, Brian Pew and John Meletiadis with Mr. George Goncalves.