Mark Kaminski

Mark Kaminski

Portfolio Manager-Fixed Income chez Addenda Capital, Inc.

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Profil

Mr. Mark M.
Kaminski, CFA, is a Portfolio Manager of Core Fixed Income & Preferred Shares at Addenda Capital, Inc. He leverages his background in economics to assist in strategy development through the analysis and monitoring of economic fundamentals, which includes monetary policy.
He is a member of the Core Fixed Income team and contributes to the decision-making process and management of the fixed income portfolios.
He also plays an important part in managing the money market and preferred stock portfolios.
He served as a Portfolio Manager of Preferred Shares and Money Market (2016-2018), Assistant Portfolio Manager of Preferred Shares and Money Market (2013-2016), Money Market Trader/Bond Analyst (2009-2013) and Junior Analyst (2007-2009) at the firm.
Mr. Kaminski was previously employed as a Financial Analyst in Corporate Finance (2005-2007) & Statistical Analyst in the Actuarial Department (2004-2005) at Co-operators General Insurance Company.
He received his Bachelor of Economics and Honors Bachelor of Science degree in Computer Science from the University of Guelph.
He holds a Chartered Financial Analyst designation.

Postes actifs de Mark Kaminski

SociétésPosteDébut
Portfolio Manager-Fixed Income 01/01/2013
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University of Guelph Undergraduate Degree

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CO-OPERATORS GENERAL INSURANCE COMPANY

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