Over time, flexibility in going outside traditional benchmarks results in greater likelihood of constructing attractive return-risk bond portfolios. Thorough top-down analysis to define our strategic sector allocation and rigorous and disciplined bottom-up analysis to identify attractive individual securities and issuers.
Proprietary and external risk tools serve to manage overall portfolio risk, liquidity and credit quality, with ongoing assessments of credit fundamentals.
In his capacity as Senior Analyst, Fixed Income and Trader, Emmanuel Pornillos is involved in the trading of fixed income securities and the management of money market securities.
Prior to this role, Jean-François was Vice-President, Trading and Strategies (2006-2008), and as such, he was responsible for executing and following up on transactions.

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