Mark Cabana is the head of US Rates Strategy at BofA Global Research, based in New York. In this role, he publishes research and trade recommendations covering US short-term interest rates and macro strategy. He also meets regularly with a broad range of clients to discuss the firm’s views on Fed policy, interest rates, and financial regulation. Cabana joined the firm in 2015. Before joining BofA Securities, Mark worked as an officer in the Markets Group at the Federal Reserve Bank of New York. He spent nearly 9 years on the Open Markets Trading Desk which spanned the duration of the
financial crisis. While at the NY Fed, Cabana was closely involved with the design and implementation for a number of asset purchase / QE programs and also managed a team focused on analyzing global macroeconomic conditions and financial markets. Cabana earned a bachelor’s degree from Furman University and a master’s degree from Johns Hopkins University in finance and international relations. He is a CFA charterholder.
All Sessions by Mark Cabana
INTEREST RATE RISK
Effectively navigating uncertainty in macro and funding markets – how prepared are FIs for the road ahead?
- Assessing US interest rate and funding market outlook
- US macro-outlook: base case and potential risks
- US interest rate outlook: base case and pitfalls
- Fed balance sheet outlook: base case and risks
- USD funding market outlook: base case and risks