Giovanny covers investment trends for CNBC Pro, CNBC's premium digital-content platform, with a focus on equities, global markets, currencies and commodities.
Prior to this role, he spent five years as the lead quantitative analyst for CNBC Television, partnering with reporters and show units to provide research and analytics related to the stock market.
His expertise spans across multiple industries and asset classes with an emphasis on telling the story through the numbers.
Follow Giovanny Moreano on Twitter @GiovannyMoreano.
It's been 23 years since the infamous stock market crash of October 19, 1987, which became known as "Black Monday." What began in Hong Kong, and spread to other parts of the world, including the United States, caused the Dow to drop 508 points, or nearly 23 percent.
As bad as it's been for the energy sector, weakness in two other places is grabbing more attention ... technology and financials.
Bespoke Investment Group analyzed the history of S&P 500 and 10-year Treasury yield spreads to find out what it means for future market returns.
CNBC Pro asked strategists and money managers how investors should position portfolios as Japan's 10-year bond yield goes negative.
CNBC senior markets commentator Michael Santoli highlights a rather cowardly, conservative portfolio yielding close to 5 percent.
Economist Ed Lazear joined CNBC Pro for an exclusive interview to demystify the key economic factors impacting the market.
ConocoPhillips slashed its dividend Thursday. Which other companies' dividends are at risk and which ones are safe?
Amid the volatility, gold futures prices are already up nearly 8 percent this year, a trend that may continue, according to some.