2007 -2018 Associate Portfolio Manager l Fixed Income, Funding and Rates @
2006 -2007 Vice President and Director | Fixed Income @
1995 -2006 Vice President | Fixed Income | Bond Trader @
1994 -1995 Financial Futures Operator @
Earl Davis Education
Ivey Business School at Western University
Master of Business Administration (M.B.A.)
2000-2002
Concordia University
Bachelor of Commerce (Distinction)
1991-1994
DeGroote School of Business - McMaster University
Earl Davis Skills
Portfolio Management
Fixed Income
Derivatives
Bonds
Finance
Capital Markets
Financial Markets
Fund
Liability
Investments
Asset Management
Trading
FX
Risk
Hedge Funds
Risk Management
Team Leadership
Communication
Interest Rates
Monetary Policy
Inflation
US Treasuries
FX Hedging
Currency
Relative Value
Global Macro
Fundamental Analysis
Portfolio Optimization
Fiscal Policy
Diversification
Indexing
Swaps
Liquidity
Alpha
Beta
TIPs
Active Management
Value Add
G10
Asset Manager
Leverage
Public Markets
Investment Management
Absolute Return
Options
Pension Funds
Project Management
Fixed Income Strategies
Banking
Management
Microsoft Office
Program Management
Microsoft Excel
Marketing
Purchasing
Customer Service
Financial Analysis
Commodity Markets
Investment Strategies
Convertible Securities
Earl Davis Summary
Earl Davis, based in Toronto, ON, CA, is currently a MD, Head - Fixed Income and Money Markets at BMO Global Asset Management. Earl Davis brings experience from previous roles at Accounting Standards Oversight Council (AcSOC) and Ontario Teachers' Pension Plan. Earl Davis holds a 2000 - 2002 Master of Business Administration (M.B.A.) @ Ivey Business School at Western University. With a robust skill set that includes Portfolio Management, Fixed Income, Derivatives, Bonds, Finance and more. Earl Davis has 3 emails and 1 mobile phone numbers on RocketReach.
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