Peter Goves

Interest Rate Strategy, Citigroup

Peter Goves joined Citigroup's Fixed Income Research department in 2006. He has worked in Credit Strategy (2006-2010) and Interest Rate Strategy (2011-present). Within Corporate Bond Strategy, he covered mostly flow credit focusing on publishing research on portfolio strategies in the cash and synthetic space. In his current role, he researches the developed rates markets in Europe, covering both cash and derivatives, inflation and the SSA market. He holds an MSc degree Economics from the London School of Economics and a First Class BA degree in Politics, Philosophy and Economics from Oxford University.

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02 March 2016, 13141 reads

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