Alex Bobrov
314 articles
Alex Bobrov is a macro-oriented FX researcher with 9+ years of experience studying currency regimes and cross-asset correlations. He is known for breaking down how rates, equities, and credit spreads interact during risk-on and risk-off cycles.
Alex trained in Finance and has worked with trading platforms and analytics dashboards used by active traders. In his spare time, he enjoys playing tennis and building small scripts to automate market monitoring.
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