Mark Kanar, CFA, CA

Vice-President - Global Fixed Income

Joined CIBC Asset Management in April 2002. Mark is a member of the Global Fixed Income team, operating from within the firm's Investment Management Platform. In addition, Mark is responsible for CIBC Asset Management's high yield bond products.

Bachelor of Administration from York University (Toronto); In addition to being a Chartered Accountant, Mark is also a CFA charterholder.

Senior Portfolio Manager at Elliott & Page (Toronto) from 1990 to 2002; Account Manager at the Bank of Montreal (Toronto) from 1986 to 1990; Audit Manager at Ernst & Young (Toronto) from 1981 to 1986.