Steven Bell

Managing Director, Portfolio Manager & Chief Economist, Multi Asset Solutions

Steven Bell is a Managing Director, responsible for providing macro strategy input to a broader range of multi asset investment portfolios. He joined the company in July 2013 having run the GLC’s Global Macro programme for the previous seven years. Before that he was Global Chief Economist and Investment Head of the UK multi asset business at Deutsche Asset Management during his tenure 1984 – 2005. Steven began his career as an Economic Adviser at the UK Treasury and has degrees in economics from the London School of Economics and Stanford University, California.

Articles by Steven Bell

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Macro Update - 10 August 2020

Vaccine to bail out the bulls

Macro Update - 3 August 2020

There’s been a subtle but significant shift in the pattern of virus data in the last week or two - and it’s not good news.

Macro Update - 27 July 2020

Signs of more second waves: will the markets sink or swim?

Macro Update - 20 July 2020

Markets this week: politicians vs the US second wave

Macro Update - 13 July 2020

Markets supported despite hit to earnings

Macro Update - 06 July 2020

Will the markets ride the US second wave?

Macro Update - 29 June 2020

The US leads in economic data but lags in virus success.

Macro Update - 22 June 2020

Virus update: Lockdown in Beijing but British pubs to reopen

Macro Update - 15 June 2020

Second waves and tumbling shares: are we heading for a double dip?

Macro Update - 8 June 2020

Economist admits he got it wrong!

Macro Update - 1 June 2020

Will markets suffer a second wave of selling? In his weekly Macro Update, Steven Bell explains why there is plenty on the horizon to disrupt markets this month.

Macro Update - 26 May 2020

Encouraging numbers for some countries, but the UK still has a long way to go.

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