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Dayna Goodwin

Dayna Goodwin is a senior asset allocation strategist for Roubini Global Economics, focusing on developing forecasting models across asset classes. She holds a master's degree from New York University where she studied economics and financial risk management. She holds a bachelor's degree in economics and political science from Florida Atlantic University.

If you or your organization would like to book Dayna Goodwin for a speaking engagement or event, contact the RGE sales team.

Recent Articles by Dayna Goodwin

Rates: No Yield in Sight

David Nowakowski and Dayna Goodwin December 4, 2012

Credit: Carry Me Home

David Nowakowski and Dayna Goodwin December 4, 2012

Asset Allocation Model Portfolio: Looking Beyond the Fiscal Cliff Deal

Dayna Goodwin December 4, 2012

Asset Allocation Model Portfolio: Macro Finally Feeds Through to Earnings

Dayna Goodwin November 1, 2012

Rates: Risk Curbed, but Base Case Still Low Growth

David Nowakowski and Dayna Goodwin October 1, 2012

Asset Allocation Model Portfolio: It’s All About the Missing Growth Fundamentals

Dayna Goodwin October 1, 2012

Rates: Summer Roller Coaster

David Nowakowski and Dayna Goodwin September 4, 2012

Credit: Corporates Go for Gold

David Nowakowski and Dayna Goodwin September 4, 2012

Asset Allocation Model Portfolio: Patience Is the Companion of Wisdom

Dayna Goodwin September 4, 2012

Rates: Anchored by Reality

David Nowakowski and Dayna Goodwin August 1, 2012

Credit: Yield is Harder and Harder to Come By

David Nowakowski and Dayna Goodwin August 1, 2012

Asset Allocation Model Portfolio: Incoming Bumps

Dayna Goodwin August 1, 2012

Asset Allocation Model Portfolio: Policy-Induced Rally, but Fundamentals Still Weak

Dayna Goodwin July 6, 2012

Cross Asset Market Portfolio: A Healthy Bias

Dayna Goodwin May 7, 2012

Cross Asset Market Portfolio: Prudent Participation

Dayna Goodwin April 4, 2012

Cross Asset Market Portfolio: Never Turn Your Back on the Ocean

Dayna Goodwin March 6, 2012

2012 RGE Market Portfolio Study

Dayna Goodwin February 15, 2012

Cross Asset Market Portfolio: Warning, Objects in Mirror Are Closer Than They Appear

Dayna Goodwin February 9, 2012

Cross Asset Model Portfolio: New Year, Same Problems?

Dayna Goodwin January 11, 2012

Asset Allocation: Long VIX Positioning and Alternative Volatility Strategies

Dayna Goodwin, Gina Sanchez, Natalia Gurushina, David Nowakowski and Tsolmon Enkhbayar January 6, 2012

Cross Asset Model Portfolio: December Review

Dayna Goodwin December 31, 2011

Cross Asset Model Portfolio: Wax On... Wax Off. Wax On... Wax Off

Dayna Goodwin December 8, 2011

Going Long Volatility

Gina Sanchez and Dayna Goodwin December 1, 2011

Paring Back Our Risk Aversion Trades

Gina Sanchez, Ibrahim Gassambe and Dayna Goodwin November 30, 2011

Cross Asset Model Portfolio: November Review

Dayna Goodwin November 30, 2011

Cross Asset Model Portfolio: Realism vs. Optimism

Dayna Goodwin November 7, 2011

Cross Asset Model Portfolio: October Review

Dayna Goodwin October 31, 2011

Cross Asset Model Portfolio: Looking for a Life Vest

Dayna Goodwin October 7, 2011

Cross Asset Model Portfolio: Bracing for Recession

Dayna Goodwin September 6, 2011

Hunkering Down for a Recession

Gina Sanchez, Ibrahim Gassambe and Dayna Goodwin September 1, 2011

Cross Asset Model Portfolio: Recalibrating Risk

Dayna Goodwin August 3, 2011

Cross Asset Model Portfolio: Cautiously Adding Risk

Dayna Goodwin July 5, 2011

Cross Asset Model Portfolio: June Review

Dayna Goodwin June 30, 2011

Cross Asset Model Portfolio: Tactically Risk-Neutral

Dayna Goodwin June 5, 2011

Cross Asset Model Portfolio: May Review

Dayna Goodwin May 31, 2011

Cross Asset Model Portfolio: Taking Some Risk Off the Table

Dayna Goodwin May 11, 2011

Cross Asset Model Portfolio: April Review

Dayna Goodwin April 30, 2011

Cross Asset Model Portfolio: Rebalancing for More Inflation Protection

Dayna Goodwin April 3, 2011

Cross Asset Model Portfolio Monthly: March Review

Dayna Goodwin March 31, 2011

Cross Asset Model Portfolio: Commodities Run Continues...

Dayna Goodwin February 28, 2011

The RGE Market Portfolio Study

Gina Sanchez and Dayna Goodwin February 20, 2011

Cross Asset Model Portfolio

Dayna Goodwin February 7, 2011

Cross Asset Model Portfolio

Dayna Goodwin January 11, 2011

Give Credit to U.S. Equities

David Nowakowski and Dayna Goodwin September 28, 2010