Mark Muskievicz

Vp, Portfolio Management, Implementation & Trading at Loomis Sayles

Mark Muskievicz has over 14 years of work experience in the finance industry. Mark is currently working as a VP in Portfolio Management, Implementation & Trading at Loomis, Sayles & Company since July 2019. Prior to this, they worked at McDonnell Investment Management for 14 years in various roles. From January 2016 to June 2019, they served as an Assistant Portfolio Manager, managing over 2,000 client accounts and formulating strategies that outperformed benchmarks across different timeframes. From January 2007 to December 2015, they worked as a Portfolio Analyst, responsible for risk management and implementing strategies across multiple account programs. Before that, from 2005 to 2007, they worked as a Trading Assistant, settling fixed income trades and providing analytical support for the taxable trading desk.

Mark Muskievicz attended Bradley University from 2001 to 2005. Mark obtained a Bachelor of Science degree in Finance with a focus on General Finance.

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