Mark Kaminski CFA
Senior Portfolio Manager, Core Fixed Income and Preferred Shares

Profile
Mark is a key member of our Core Fixed Income and Corporate Bonds teams. Drawing on his strong background in economics, he contributes to the development of investment strategies by analyzing and monitoring economic fundamentals, monetary policy and market trends. Mark plays a leading role in portfolio construction and fixed income portfolio management, and has expertise in core fixed income, Core Plus, high yield and preferred share strategies.
Since joining Addenda Capital in 2007, Mark has held a variety of increasingly senior roles within the firm’s Investment team. His experience spans portfolio management, fixed-income analysis, preferred stock investing, money market strategies, and trading operations, giving him a comprehensive understanding of capital markets and portfolio construction. Earlier in his career, he worked in corporate finance and actuarial support roles at a Canadian insurance company, where he built a strong analytical and quantitative foundation.
Mark holds a Bachelor of Economics degree and an Honours Bachelor of Science degree in Computer Science from the University of Guelph. He also holds the Chartered Financial Analyst (CFA) designation.