Max English is an Investment Director for the Capital Markets Research Team at Cambridge Associates.
As a member of the team responsible for developing the firm’s strategic and tactical asset allocation guidance, Max researches broad macroeconomic themes and asset class topics, contributes to the firm’s Asset Allocation Committee, and serves as a resource to both investment staff and clients. He is based in the firm’s London office.
Prior to joining CA in 2025, Max spent ten years at the Bank of England, the UK’s central bank. During his time there, he held several roles, including a trader on the sterling rates desk during Brexit, the COVID-19 pandemic, and the 2022 LDI market stress, with a focus on implementing government and corporate bond purchase programmes. He also spent several years in capital markets research, where he led a team focused on developed-market macroeconomic trends across asset classes and supported the work of the Monetary Policy Committee and Financial Policy Committee.
Max holds a BSc in Economics from University of Bath and is a CFA® charterholder.
Read Investment Research by Max