Authors > Kevin Hebner, PhD

Kevin Hebner, PhD

Managing Director, Global Portfolio Management, Epoch Investment Partners, Inc.

Kevin is a global investment strategist. Prior to joining Epoch in 2016, Kevin served as a senior FX strategist at J.P. Morgan Securities.

Before J.P. Morgan, Kevin worked as a global investment strategist at Third Wave Global Investors, Citigroup Asset Management and Credit Suisse Asset Management. Prior to Credit Suisse, Kevin worked at the Bank of Japan. In addition, Kevin was a visiting professor at Kyoto University.

Kevin earned a BA in Economics from the University of Toronto and graduated from Queen’s University with a PhD in Financial Economics and a MA in Economics.

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When “Bits” Meet “Atoms”

by: ; Kevin Hebner, PhD
Although the impact of the Second Machine (or Digital) Age was difficult to see for the first few decades, as even exponential growth from a small base is not visible for...

The Winds of Change

by: ; William Priest, CFA
The world’s major central banks are moving toward tighter monetary policies. Higher interest rates and waning liquidity are the most significant global macro risks, especially...

Trump and Trade: What Are the Risks?

by: ; Kevin Hebner, PhD
President Trump has been an unabashed protectionist for decades, so it is no surprise that he has appointed the most hawkish trade team since Smoot-Hawley.