Senior Economist - Global Emerging Markets excluding Asia

  • Manolis joined AXA Investment Managers in August 2011. He is working as a global emerging markets economist covering Latin America, Turkey, Greece, Russia and Egypt.

  • Before joining AXA IM, he worked for 4 years at Piraeus Bank Group SA, Greece. Prior to this, he worked 3 years at Eurobank EFG SA, a year at Warwick Business School, UK, and half a year at the European Central Bank, Germany.

  • Manolis holds a PhD in Economics (2004) and an MSc in Economics and Finance (2001) from the University of Warwick, UK and a BA in Economics (1998) from the University of Athens, Greece.

  • He is the author of a number of scientific articles published in academic and practitioners' journals:

    • "Monetary Policy Analysis at An Asymmetric Framework for the Bank of England" M.P. Taylor & E. Davradakis, Studies in Non Linear Dynamics and Econometrics, 2006, Vol. 10 (4).

    • "Macroeconomic Fundamentals and Exchange Rates: A Non-Parametric Cointegration Analysis" E. Davradakis, Applied Financial Economics, 2005, Vol. 15 (7), pp. 439-446.