George Lagarias Chief Economist - Financial Planning

George Lagarias is currently the Chief Economist at Mazars Wealth Management. He joined the firm in 2016. George has 17 years of experience in financial markets as an analyst, investment strategist, economist, and fund manager. He has worked for British asset managers EFG and Close Brothers as well as Greek private banks Alpha Bank and Eurobank and wealth manager Marfin.
George is certified by the Chartered Financial Analyst (CFA) institute with the Investment Management Certificate (Level 4).
He is a firm believer that investments should be client-centric and that ideas and perceptions should be placed at a public forum open to all stakeholders.
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Pages associated to George Lagarias
Your business
- Should companies prefer to be financed by debt or private equity?
- UK economic overview
- Privately Owned Business newsletter - April 2022
- UK interest rates, inflation, and its effects on businesses
- How rising interest rates may impact your business
- What is the outlook on UK interest rates?
- How the global and UK economies ended up in their current state
- Wealth Management
Services
- Quarterly investment outlook - Q2 2022
- Quarterly investment outlook - Q1 2022
- Quarterly investment outlook - Q4 2021
- Monthly market blueprint - October 2021
- Monthly market blueprint - July 2021
- Monthly market blueprint - September 2021
- Monthly market blueprint - June 2021
- Monthly market blueprint - May 2021
- Quarterly investment outlook - Q2 2021
- Monthly market blueprint - March 2021
- Monthly market blueprint - February 2021
- Quarterly investment outlook Q1 2021
- Monthly market blueprint - December 2020
- Mazars Investment News
- Wealth management