• Investor relations
  • Newsroom
  • Global
NinetyOne
  • About us
  • Insights
  • Funds
  • Sustainability
Global
  • Investor relations
  • Newsroom
  • Global
NinetyOne
  • About us
  • Insights
  • Funds
  • Sustainability

Daniel Morgan

Analyst, Multi-Asset

In the company since

2007

Years in the industry

15

About

Daniel is an analyst within the Multi-Asset team at Ninety One. He is responsible for researching equities and alternative risk premia.

Prior to joining the investment team in 2009, Daniel worked in the marketing department focusing on investor communications and investment writing.

Daniel graduated from Oxford University with a first class Bachelor of Arts (Hons.) degree in Philosophy and Modern Languages and is also a CFA® Charterholder.

Insights

Macroscope

A correction doesn’t mean markets are cheap

Markets have corrected, but are they still expensive? Analysts Daniel Morgan and Marc Abrahams explain how Ninety One’s Multi-Asset team uses its 10-year capital market assumptions model to better inform their investment allocations.

Podcast

Capital Markets Assumptions

Ninety One’s Capital Market Assumptions framework focuses on the key drivers of long-term performance. We do this to better understand possible future returns, enriching discussions with our clients.

18 minutes

US Elections

US election 2020: of mountains and molehills?

For all the sturm und drang of the US election season, the policy and market implications of November’s US election differ less than we might expect. The most disruptive scenario is not a Trump or a Biden presidency, but a contested election scenario.

NinetyOne
Location:Global
Role:Select your role
Call client team +44 (0) 20 3938 2000
  • About us
  • Latest insights
  • Funds & Strategies
  • Investor relations
  • Contact us
  • Careers
  • Press
  • Anti-fraud
  • Cookie policy
  • Privacy notice
  • Terms & conditions
© 2022 Ninety One. All rights reserved