Sonja’s research interests include multi-asset investment strategy, with a focus on emerging/frontier markets, capital flows and ESG investment. She authors the IIF’s Weekly Insight, which offers a concise perspective on global financial markets in the context of topical economic and political developments, and oversees the quarterly Global Debt Monitor, which looks across mature and emerging economies for debt-related vulnerabilities such as the rapid buildup in EM corporate debt levels. Sonja co-leads IIF policy work on sustainable finance and infrastructure investment, including advocacy and liaison efforts vis-à-vis the G20, the multilaterals and the international regulatory community.
Sonja has spent over 20 years in banking and financial markets, most recently with Nomura International in London, where she was Chief Equity Strategist. Previously she was Head of East European Economics and Senior European Bond Analyst, also for Nomura. Earlier positions included stints as a U.S. economist and bank credit analyst in New York and Los Angeles. She has taught undergraduate microeconomics at U.C. Berkeley, and spent several years with the Berkeley-Stanford Program on Soviet International Behavior. Sonja’s work is widely cited in the financial press, including Bloomberg, the Wall Street Journal and the Financial Times; she is a regular speaker at industry conferences and has been a frequent commentator for financial television and radio in her strategist/analyst roles.
Ms. Gibbs is a Chartered Financial Analyst (CFA), and received her M.B.A. and Bachelor’s degrees from the University of California at Berkeley.