Vice President, Fixed Income Strategy, PHD
Dan is a Vice President in the BMO Capital Markets Fixed Income Strategy team. His primary focus is on spread market products with specific interests in monetary policy and economic and statistical modeling. Dan has previously focused on U.S. Treasury market strategy.
Dan earned his PhD in Economics with a primary focus on empirical Macroeconomics with a secondary focus in Econometrics from Michigan State University in 2016. His dissertation focused on foreign banking and the international transmission of bank funding shocks. He has a B.A. in Honors Economics from Boston College and holds Series 7 and 63 licenses and is currently pursuing his CFA designation.