Advertisement
Ian Pizer
Ian Pizer
Ian Pizer is senior strategist, Multi-asset & Macro, at Aviva Investors. Before joining Aviva Investors, he spent over 10 years at Standard Life Investments, where he was investment director, Multi-Asset Investing, and managed the Global Absolute Return Strategies fund and the Absolute Return Bond Strategy fund. He has a PhD in mathematical logic from Bristol University and is also a CFA charterholder.

There is a clear disconnect between the literature on Covid-19 and financial markets. Investors expecting the coronavirus disease to peak and stop like Sars have another think coming.

videocam