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Chris leads the development of the Economic & Country Risk team's quantitative risk models, including in the areas of cash flow forecasting and project valuation, sovereign credit risk, and related environmental, social, and governance (ESG) issues. He works closely with corporate finance, insurance, and risk managers to advise on risk modelling solutions. Chris has previously led ECR's political risk analysis and integrated research initiatives. This involved the coordination and review of economic and country risk research, particularly on issues impacting clients in the emerging and frontier markets.
Dr. Chris holds a B.A., M.Sc. (by research) and Ph.D. from the London School of Economics.