Eric Winograd

Senior Economist—United States

Eric Winograd joined AB in 2017 as a Senior Vice President and Senior Economist responsible for the economic and interest-rate analysis of the US. From 2010 to 2016, he was the senior economist at MKP Capital Management, a US-based diversified alternatives manager, where he produced thematic research to describe, illuminate and forecast the market environment for the firm’s investment team. From 2008 to 2010, Winograd was the senior macro strategist at HSBC North America, responsible for generating macroeconomic views for their Private Bank Investment Group of the Americas and applying them to asset allocation, portfolio construction and tactical trade decisions. Earlier in his career, he worked at the Federal Reserve Bank of New York and the World Bank. Winograd holds a BA (cum laude) in Asian studies from Dartmouth College and an MA in international studies from the Paul H. Nitze School of Advanced International Studies. Location: New York

The Markets Are Volatile. The Fed Can Live With That.
Red Wave/Blue Wave? Thoughts on the US Election
NAFTA 2.0: A Bold New Beginning? Or a Modest Rewrite?
The Fed’s on Auto-Pilot—For Now
Inverted US Yield Curve? Recession? Not So Fast
Can the US Economy Weather the Trade Wars?
The Good, the Bad and the Ugly: Three Reasons US Rates Are Going Up
High Stakes: Why Trade Policy Matters
Where Will the Fed’s Rate-Hike Cycle End?
US Inflation: Signs Are Pointing Up
As Volatility Spikes, Watch the Economy, Not the Market
Five Reasons the Fed Could Hike More than You Think
Fed Policy for 2018? If It Isn’t Broken…

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