George Lagarias
Chief Economist, Financial Planning - London
George joined Mazars Wealth Management in 2016 as Senior Investment Analyst, focusing on macroeconomics and investment strategy, actively contributing to the firm’s investment house view. He has 11 years of experience in the financial markets as an Investment Analyst, Fund Manager and Investment Writer for a number of financial institutions in the UK and Greece. Prior to joining Mazars, George worked as Investment Writer in Close Brothers Asset Management and EFG Asset Management. He spent 4 years as a Fund Manager in Marfin Asset Management where he was responsible for the firm’s range of multi-asset class Fund of Funds as well as managing two equity funds. He has also worked an investment analyst and portfolio specialist at the wealth management divisions of EFG Eurobank and Alpha Bank. George is IMC and CF30 certified and holds an MBA and a BSc in Accounting and Finance.