Monthly video

Guillermo Felices, Senior Market Strategist of the Multi-Asset Solutions team, reviews the major events of the previous four weeks and discusses their impact on asset allocation, focusing on any significant changes in the model portfolio.

Author biography

Guillermo FELICES

Senior Market Strategist of the Multi-Asset solutions team

Guillermo has 15 years’ experience of 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 Citigroup, having previously been a senior economist at the Bank of England, in the Monetary Analysis and Financial Stability areas. Currently a visiting research fellow in the Institute of Global Affairs at the London School of Economics and Political Science, Guillermo holds a PhD and an MA in Economics from New York University and BA in Economics from Universidad del Pacifico in Lima. He holds Peruvian and British citizenship.