Gary Ng joined Natixis as the Economist for Asia Pacific in July 2015. He uses an ideal mixture of top-down and bottom-up approaches to identify and forecast macro-economic trends with granular analysis in various asset classes. He also brings his rich experience in sectoral research with specific focuses on banking and real estate. Prior to Natixis, he was an analyst covering economic and sectoral trends at Bloomberg. He has been featured in international media, including Bloomberg, CNBC, Reuters etc. He holds a Bachelor of Economics and Engineering with a major in international trade and finance from the University of Queensland.