Mark Smith

Portfolio Manager at CPP Investments

Mark Smith is a Portfolio Manager with extensive experience in quantitative development, risk management, and financial engineering. Mark has worked at various financial institutions such as CPP Investments, RPIA, and Scotiabank, where Mark gained practical experience in trading strategies and system functionality. Mark's educational background includes a Master's degree in Artificial Intelligence from Queen's University and a Master's degree in Mathematical Finance from the University of Toronto.

Links

Previous companies

Scotiabank logo
RPIA logo

Org chart

Timeline

  • Portfolio Manager

    June, 2023 - present

  • Senior Associate

    November, 2020