Konstantin Boehmer, MBA
Vice President, Portfolio Manager
Mackenzie Investments
Session Details: Hear from three of our top money managers on how interest rates are influencing their investment outlook and portfolio positioning strategies. Among others, this panel will discuss what a steeper yield curve could mean for asset allocation, and the outlook for North American equities and fixed income investments. Find out what our panel of experts believe are the next best opportunities.
Bio: Konstantin Boehmer, Senior Vice President, Investment Management, is a Portfolio Manager on the Mackenzie Fixed Income Team. He focuses on actively managing global fixed income using qualitative and quantitative strategies.
Konstantin joined Mackenzie Investments in July 2013. His portfolio management career began in 2003 at an asset management company in Germany. He transferred to the company’s New York office in 2009, achieving progressively senior portfolio management positions. Konstantin’s focus throughout his career has been the active management of global sovereign, quasi-sovereign, and emerging markets yield curves and currencies. He has also managed inflation-linked fixed income products.
Konstantin has a Bachelor First Class Honours degree (European Business and Spanish) from the University of Hertfordshire in the UK. In 2017, he earned his Master’s degree in Business Administration from the Massachusetts Institute of Technology.