Phillip Colmar

Global Macro Strategist & Managing Partner MRB - The Macro Research Board

Phillip Colmar has 20+ years of experience, both as a strategist and economist. He focuses on global multi-asset investment strategy, trading opportunities, and financial market risks. His expertise is in identifying and developing macro and investment themes. He has a proven track record of idea generation and outperforming the markets. Over his career, Colmar has covered all major global asset classes and has developed comprehensive frameworks, models, and indicators. Prior to forming MRB, he was the Head of both the Daily Insights and Global Fixed Income Strategy services at BCA Research Inc. Colmar has an M.Sc in Finance from Queen’s University, as well as a B.A. in Economics and a Bachelor of Business Administration (Finance) from Bishop’s University.

Masters (M.Sc.), Finance 2001-2002
Bachelor of Business Administration, Finance 1997-2001
seo-ppc-strategy Investment Strategy
image-93 Macroeconomic Trends

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Recent Posts

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Articles

Rising Rates, Rethinking Routes: The Future of Telecom Infrastructure Investment in a High-Interest World

Phillip Colmar - January 8, 2024

In light of the global trend of central banks adopting a 'higher for longer' interest rate policy, how will telecom companies adjust their investment strategies in response to the increased cost of capital? What implications will rising borrowing rates have for the future of telecom infrastructure investment?

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Articles

With Uncertainty on Inflation and Interest Rates in 2024, Adaptable Investments are the Only Sure Bet

Phillip Colmar - December 21, 2023

Experts see inflation trending downward, but will that bring lower interest rates in 2024? For the wise investor, the best approach is one that can adapt to the uncertainty, roll with the punches, and make the best out of the situation, no matter what the Federal Reserve (the Fed) does with interest rates.

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What Latest Employment & Inflation Data Means for the Macroeconomy

Phillip Colmar - September 25, 2023

Phillip Colmar joined Yahoo Finance TV host Akiko Fujita to talk about the latest employment and inflation data and what it means for the Fed, bond yields, and investment strategy.

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Major Financial Tide Shifts Shape Both U.S. & Chinese Economies

Phillip Colmar - September 20, 2023

Phillip Colmar joined Paul Sweeney and Matthew Miller on Bloomberg Radio yesterday to share his thoughts on the U.S. and Chinese economies, and the impact for financial markets.

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Navigating Market Uncertainty in the Canadian Economy

Phillip Colmar - August 27, 2023

Phillip Colmar joined BNN Bloomberg host Andrew Bell live from the Toronto studio to share his perspective on the Canadian housing bubble and the risks for the domestic economy and asset markets if bond yields continue to rise. This is one of the “weak links” of the global economy that Colmar and his team are monitoring.

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