MRB Partners Economic Outlook
Wednesday June 10th, 12:00 PM
Phillip Colmar from MRB Partners will provide an outlook for the U.S. and global economy, inflation, policy and financial asset markets. The world economy became victim to a “sudden-stop” recession during the first half of 2020 as the authorities battled to gain the upper hand on the pandemic. With policymakers in the U.S. and elsewhere now attempting to reopen, the profile of the recovery path will be crucial for financial asset markets as well as the upcoming U.S. election. Phillip will outline how the unique nature of this shock, along with the massive policy support deployed, will impact economic and financial asset trends during the
second half of 2020 and on a multi-year horizon, and provide investment ideas to benefit from this unprecedented backdrop.
Phillip Colmar, Founding Partner MRB
Mr. Colmar focuses on global multi-asset investment strategy, trading opportunities, and financial market risks. His expertise is in identifying and developing macro and investment themes. Mr. Colmar speaks at
conferences, seminars and client meetings.
Over his career, Mr. Colmar has covered all major global asset classes and has developed comprehensive frameworks, models, and indicators. Prior to forming MRB, he was the Head of both the Daily Insights
and Global Fixed Income Strategy services at BCA Research Inc.
Mr. Colmar has an MSc. in Finance from Queen’s University, as well as a B.A. in Economics and a Bachelor of Business Administration (Finance) from Bishop’s University.