Mark Hamlin is a vice president and portfolio manager on Mackenzie Investment’s fixed income team. He joined the company in 2021 and is responsible for the management of investment grade portfolios. He previously led a portfolio management team managing $17 billion of fixed income assets for an asset management firm that was acquired by Mackenzie in 2021. He has worked in senior positions with leading financial companies in London, U.K., and New York. He holds a B.A. in economics from Carleton University.