Dan Lavric

Dan Lavric

Portfolio Manager-Fixed Income presso Addenda Capital, Inc.

Finance
Consumer Services

Profilo

Mr. Dan Lavric, CFA, is a Portfolio Manager of Core Fixed Income at Addenda Capital, Inc. He contributes to the development and implementation of various core bond strategies, with focus on insurance assets and hedging strategies.
Mr. Lavric also supports credit analysis and monitoring of corporate bond portfolios.
He is a member of the Credit Committee.
Mr. Lavric was previously employed as a Director, Credit Portfolio Management (2013-2015), a Portfolio Manager, Credit (2010-2013), an Investment Analyst (2006-2010) at Equitable Life Insurance Company of Canada and an Equity Research Analyst (2004-2005) at Spelman Research.
He received both a Bachelor of Commerce degree and a Master's degree with a major in Finance and Banking from the Academy of Economic Studies of Moldova.

Posizioni attive di Dan Lavric

SocietàPosizioneInizio
Portfolio Manager-Fixed Income 01/09/2015
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Precedenti posizioni note di Dan Lavric

SocietàPosizioneFine
Analyst-Equity -
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Formazione di Dan Lavric

Academy of Economic Studies of Moldova Graduate Degree

Esperienze
Posizioni ricoperte

Attive

Inattive

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Aziende private

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Relazioni

50

Relazioni di 1° grado

3

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Uomo

Donna

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Aziende private2

Finance

Finance

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