George is Head of European FX and cross-market strategy at Deutsche Bank in London, where he is responsible for the fundamental analysis of major exchange rates and advising clients on risks and opportunities in currency markets. He also has an expanded mandate to cover global bond markets, including the cross-asset implications on FX and other asset classes. George is one of the main contributors to the bank's flagship research publications. He has spearheaded the development of Deutsche Bank's FX investment index product suite, including the first benchmark index of currency market returns.
He has also driven Deutsche Bank's coverage of the macro and political outlook in the Eurozone crisis, particularly Greece. George holds a Masters in public administration/international development from Harvard University and a Bachelor in economics from Cambridge University and has also previously worked at the IMF.