About

Macroeconomic insights, market implications and expert opinion

What we do

Key economic releases and their implications

SuperMacro provides a daily summary of the most critical economic and financial news from the major regions, with insights into the impact on markets and policy. We take a detailed look at the fundamentals once a week, highlighting opportunities for tactical trading strategies and longer-term investments.

Broad cross asset analysis

Understanding the macro fundamentals and the outlook for asset markets is a key part of successful trading and investment. We look at fixed income, equity markets and FX, along with volatility and credit.

Who we are

Jonny Matthews

Jonny spent over 25 years investing and trading financial markets in a professional capacity. He was a macro portfolio manager at Brevan Howard for 12 years managing up to $500m in assets and producing consistent market-beating returns. Prior to that he spent 11 years as an MD at Citigroup, trading equity derivatives and fx. His experience covers all asset classes from credit to fixed income, and the use of derivatives for vol and correlation trading. He puts his solid track record of investment returns and outperformance down to the focus on macro.

Stephen Millman

Stephen acquired extensive market-making experience over two decades, initially trading single stocks then options, before becoming a broker. His clients since early 2000 evolved from the major investment banks to include some of the largest global macro hedge funds, when he started taking a more active interest in economics. He now manages the social media interaction for SuperMacro.