Brian Reynolds is a Managing Director and Asset Class Strategist of U.S. Cash Equities and Macroeconomics at Canaccord Genuity. Reynolds has over 16 years of experience on the buy-side as a bond and money market portfolio manager. He specializes in relating developments in the U.S. credit, credit derivatives, and shadow banking markets to the U.S. equity market and other financial markets. His unique view of the markets is based on structure, such as tracking money flows from credit that will have an impact on equities. Equity portfolio managers have found his work to be invaluable.