Dan Belton

Dan Belton

Vice President,

Fixed Income Strategy

II Award Categories

  • Federal Agency Debt Strategy
  • Fixed Income Strategy
  • Investment Grade Strategy
  • U.S. Rates Strategy
  • Short Duration Strategy
  • Cross Asset Strategy

Recent Publications, Articles and Podcasts:

Article: “BMO High Grade Weekly – Apples to Apples” (June 18, 2021)

Podcast: “Reactions to the June FOMC – High Quality Credit Spreads” (June 16, 2021)

Article: “BMO High Grade Weekly – The Inflation Rotation” (June 11, 2021)

Podcast: “Tipping the Scales – High Quality Credit Spreads” (June 9, 2021)

Article: “BMO SOFR Market Update – What’s Left?” (March 30, 2021)

For questions or additional information, please email Dan Belton.

Dan is a Vice President in the BMO Capital Markets Global FICC Macro Strategy team. His primary focus is on spread market products with specific interests in monetary policy and economic and statistical modeling. Dan has previously focused on U.S. Treasury market strategy.

Since joining BMO, Dan has earned the number two ranking for Federal Agency Debt Strategy behind BMO’s own Margaret Kerins in the Institutional Investor’s Global Fixed Income Team survey, as well as the runner-up position in U.S. Rates Strategy. He is also a regular contributor to the award winning podcast, Macro Horizons, delivering weekly and monthly updates on the Fixed Income markets.

Dan earned his PhD in Economics with a primary focus on empirical Macroeconomics with a secondary focus in Econometrics from Michigan State University in 2016. His dissertation focused on foreign banking and the international transmission of bank funding shocks. He has a B.A. in Honors Economics from Boston College and holds Series 7 and 63 licenses and is currently pursuing his CFA designation.