Ryan Swift
Chief StrategistUS Bonds
Ryan helps investors position US bond portfolios to deliver the best possible returns for the macroeconomic environment. His work focuses on teaching investors how to extract… Read More
Ryan helps investors position US bond portfolios to deliver the best possible returns for the macroeconomic environment. His work focuses on teaching investors how to extract meaningful signals from US macro data while filtering out the noise.
As Chief US Bond Strategist, Ryan is responsible for BCA's coverage of US labor market and inflation trends as well as Federal Reserve policy. He also advises on US corporate bond allocations and all other USD-denominated fixed income sectors.
Ryan has been at BCA since 2010. Prior to that, he completed a Masters degree at Concordia University and did his undergraduate studies at McGill University. Read Less
As Chief US Bond Strategist, Ryan is responsible for BCA's coverage of US labor market and inflation trends as well as Federal Reserve policy. He also advises on US corporate bond allocations and all other USD-denominated fixed income sectors.
Ryan has been at BCA since 2010. Prior to that, he completed a Masters degree at Concordia University and did his undergraduate studies at McGill University. Read Less
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Key Topics: US rates under a Warsh-led Fed; Where G10 central banks diverge from Fed; Global bond markets opportunities; Dollar's path to year-end - currency winners and losers; If US-Iran de-escalation will hold and view on oil.14 Jul 2026
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