Michael Grady is Head of Investment Strategy and Chief Economist at Aviva Investors where he is responsible for formulating the economic and market outlook for Aviva Investors, as well as overseeing the investment strategy on the multi-asset and macro funds.
Prior to joining Aviva Investors, Michael was senior economist at COMAC Capital Llp, a global macro hedge fund. Prior to this, he spent a decade at the Bank of England in a variety of senior roles across the Monetary Analysis, Financial Stability and Markets Directorates. He began his career at the Australian Treasury. Michael studied at Macquarie University (Sydney, Australia).