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In his role, Marco is responsible for fund performance reporting and portfolio risk reporting as well as providing analytical and operational support to the team's portfolio rebalancing and trading activities. He’s also part of the management team responsible for the development and management of a suite of exchange-traded funds (ETFs). Previously, Marco was the Bloomberg reconciliation specialist within the securities operations group of Manulife Financial. He holds the Chartered Financial Analyst designation.
Education: B.Math., University of Waterloo
Joined the company: 2013
Began career: 2011