Ian Pollick joined CIBC Capital Markets in 2017. Mr. Pollick has spent the last decade covering the North American economy and rates markets, focusing on how the broader macroeconomic environment influences the yield curve. In addition, Mr. Pollick leads a team of global strategists, covering asset classes including fixed income, commodities and foreign exchange. He is a regular contributor to the financial press and spends a considerable amount of time traveling and talking with clients including: asset managers, governments, hedge funds, and pension funds. Mr. Pollick was ranked #1 for Canadian fixed income research in each year from 2018-to-2024.
Prior to joining CIBC Capital Markets, Mr. Pollick was a Portfolio Manager and Head of Interest Rates at a hedge fund. In that capacity, he co-managed a long-only duration fund in addition to a tactical global macro sub-fund. Before his move to the buy-side, Mr. Pollick spent a decade at two other major financial institutions in a similar capacity, helping to generate best-in-class fixed income research for the domestic market. He began his career as an equity options trader in Chicago.
Mr. Pollick has an Honors Degree in Applied Economics from the University of Waterloo and a Master of Arts in Economics (Finance specialty) from York University.
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