Mark Hamlin, based in Toronto, ON, CA, is currently a Vice President - Fixed Income Portfolio Management at Mackenzie Investments. Mark Hamlin brings experience from previous roles at GLC Asset Management Group Ltd., Treasury and Balance Sheet Risk Management (TBRM) Advisory Inc, HSBC and Credit Suisse. Mark Hamlin holds a 1991 - 1995 Bachelor of Arts (B.A.) in Economics @ Carleton University. With a robust skill set that includes Interest Rate Derivatives, Derivatives, Swaps, Rates, Interest Rate Swaps and more. Mark Hamlin has 2 emails on RocketReach.
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