TOM NAKAMURA, CFA
Portfolio Manager,
AGF Investments Inc.
Tom Nakamura is a seasoned portfolio manager with more than 10 years of industry experience and a key member of the award-winning AGF fixed-income team.
Tom is the lead Portfolio Manager on AGF Canadian Conservative Inflation Managed Income Fund and co-manages AGF Canadian High Yield Bond Fund and AGF Global High Yield Bond Fund. In addition, Tom has portfolio management responsibilities for AGF's family of money market funds and several other mandates.
The fixed-income team operates through a strong culture of team dynamics that enables each member to leverage their collective talents and strengths. Tom's broad range of experience analyzing, trading and managing portfolios across the fixed-income asset class spectrum gives him a valuable perspective on the inter-dependencies of the markets. While he is a fixed-income generalist, he is also the team's currency strategist and holds decision-making roles in credit, rates and inflation strategies.
Tom graduated with a Bachelor of Commerce from the University of Toronto. He is a CFA charterholder and a member of the Toronto CFA Society.