About the Author
Mario Ismailanji is an Investment Strategist at SoFi. In this role, he analyzes the global macro environment to develop actionable insights for asset allocation. Mario is dedicated to demystifying the complexities of finance, empowering individuals to navigate their investing journeys with clarity and confidence. Prior to SoFi, he served as a Senior Economic Analyst at IBISWorld, where he led the Forecasting and Risk team and specialized in tracking portfolio risks and economic developments. A CFA® Charterholder, Mario holds a BA in both Economics and Philosophy from Hunter College (CUNY) and is an active member of the CFA Society of New York.