Economics provides a way of seeing how society fits together - and by testing economic theory against real outcomes, our research can provide real value for investors.
The Macro Research team provides global forecasts and analysis of macroeconomic and market developments across the world. He joined AXA IM in 2014 as a Senior Economist in the Research and Investment Strategy team, providing macroeconomic and market analysis, chiefly on the US and UK economies.
Prior to AXA IM, David spent four years with Lloyds Banking Group where he worked as the primary fixed income macroeconomist, with a specific emphasis on the UK. Before that, he spent 10 years with Investec, working most recently in the Securities team providing macroeconomic advice for the Group, specialising in UK and European affairs.
David initially joined Investec in the Treasury and Specialised Finance area, supporting interest rate trading activities. He started his career in the Government Economic Service in 1996, working in the Office of Electricity Regulation and subsequently for the Debt Management Office. David holds a Master’s degree in Economics from the University of Warwick and a Bachelor’s degree in Economics from the University of York.
Read more from David

May Op-Ed - If you are bored by central banks, Tech remains interesting
by Gilles Moëc, Chris Iggo 30 May 2024 (10 min read)
Investment Institute

May Monthly Investment Strategy - Governments extend influence over outlooks
by David Page, François Cabau, and others 30 May 2024 (10 min read)
Investment Institute

US cements itself as the global centre of tech innovation
by Tom Riley, Pauline Llandric, and others 29 May 2024 (5 min read)
Investment Institute

What energy transition scenarios are and how they can be used or misused
by Olivier Eugène 28 May 2024 (7 min read)
Investment Institute

Take Two: US stocks hit fresh highs; ECB confident inflation is under control
by AXA IM Investment Institute 27 May 2024 (3 min read)
Investment Institute
