Kevin Pye is a key member of the Core Fixed Income team and manages approximately $11 billion of assets. He started in the investment industry in 2001 and has been with Scotia Global Asset Management since 2010. Prior to that, he worked as a Portfolio Manager for a leading insurance company.
Kevin employs a macroeconomic approach to investing — focusing on interest rate risk management via duration, yield curve, sector allocations and, leveraging the knowledge expertise from of the Core Fixed Income team. He makes use of both the cash and derivatives markets.
Kevin is a CFA charterholder and has completed both an MA in Economics from Wilfrid Laurier University as well as a BA (Honours) in Economics from Western University.