Marty is a Senior Portfolio Manager on RBC GAM’s Global Fixed Income and Currencies Team. His responsibilities include day-to-day management of the investment grade corporate debt in fixed-income mandates and the setting of overall corporate-bond strategy at the firm. He is a member of the Global Fixed Income Strategy Committee and a member of the Credit Strategy Committee.
Before joining RBC in March 2000, Marty worked for six years at Canada Life Assurance, where he covered investment-grade U.S. corporate debt and analyzed U.S. private placements.
Marty graduated from the University of Toronto in 1991, and in 1997 became a CFA charterholder.
Joined RBC Global Asset Management: February 2000