Martin Paleczny, Vice-President and Senior Portfolio Manager, Asset Allocation and Derivatives
Funds Managed:
Martin Paleczny is an advisor to the RBC Investment Strategy Committee for technical analysis and contributor to the implementation of derivatives and hedging strategies. His primary focuses are on managing tactical asset allocations within Balanced Funds, and managing Canadian Equity Portfolios.
At RBC Asset Management Inc., which he joined in 1994, he developed an expertise in derivatives management and created a policy and process for the products. His derivatives role started as an analyst/trader, and he also became an expert in technical analysis.
After becoming a portfolio manager, he focused on global asset allocation strategies involving global equity, fixed income and currency markets, with emphasis on the use of futures, forward and option markets. As well, he expanded his coverage to include the management of Canadian Equities, utilizing his unique skill set.
Martin graduated from Wilfrid Laurier University in 1994 with a BBA, and is a Chartered Financial Analyst.