Dan Novak is a seasoned finance professional with extensive experience in portfolio management and trading across various financial institutions. Currently serving as a Senior Portfolio Manager in Foreign Reserves Management at the Bank of Canada since October 2014, Dan specializes in fixed income and sustainable finance. Prior roles include Emerging Markets Rates Trader at ING, where responsibilities involved interest rate derivatives with a focus on multiple emerging markets, and IR Derivatives Trader at Erste Group, Standard Bank, and Bank of America, gaining expertise in trading and structuring a wide range of interest rate products. Dan began a career in finance after an internship at Citigroup. Educationally, Dan holds an M.A. in Politics, Philosophy, and Economics from the University of Oxford and an International Baccalaureate from the United World College of South East Asia.
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