Profil
Ms. Stephanie Flanders is Chief Market Strategist at JPMorgan Asset Management (UK) Ltd. She delivers insight into the economy and financial markets to thousands of professional investors across the UK, Europe and globally.
She was previously the Economics Editor at the BBC, where her analysis and on-air commentary were widely respected and broadcast around the world.
In this role, she also hosted her own economics discussion show, ‘Stephanomics’, named after her influential blog.
Prior to joining the BBC in 2002, she worked as a reporter at the New York Times, and a speechwriter and senior advisor to US Treasury Secretaries Robert Rubin and Lawrence Summers in the second Clinton Administration, when she was closely involved in the management of the 1997-8 emerging market financial crises.
She has also been a Financial Times leader-writer and columnist, and an economist at the Institute for Fiscal Studies and the London Business School.
She was a scholar at Balliol College, University of Oxford, where she obtained a first class degree, and attended Harvard University as a Kennedy Scholar at the Kennedy School of Government.
Anciens postes connus de Stephanie Flanders
| Sociétés | Poste | Fin |
|---|---|---|
JPMorgan Asset Management (UK) Ltd.
JPMorgan Asset Management (UK) Ltd. Investment ManagersFinance JPAM-UK is an active, long-term manager which seeks to generate positive excess return through both a bottom-up approach emphasizing security selection and a top-down approach focusing on macro investment themes and trends to aid in determining sector weightings, currency, and yield curve weighting where appropriate. Each team has a distinct approach for analyzing their sector; utilizing a combination of fundamental, quantitative and technical inputs to identify buy and sell targets. | Stratège de marché | - |
Expériences
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| Entreprise privées | 1 |
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JPMorgan Asset Management (UK) Ltd.
JPMorgan Asset Management (UK) Ltd. Investment ManagersFinance JPAM-UK is an active, long-term manager which seeks to generate positive excess return through both a bottom-up approach emphasizing security selection and a top-down approach focusing on macro investment themes and trends to aid in determining sector weightings, currency, and yield curve weighting where appropriate. Each team has a distinct approach for analyzing their sector; utilizing a combination of fundamental, quantitative and technical inputs to identify buy and sell targets. | Finance |
















