Peter Azzinaro
Portfolio Manager
Agile Investment Management LLC
Peter joined Agile Investment Management in 2024 and is responsible for developing and recommending macro asset allocation calls and providing input on overall portfolio construction. He serves on the firm’s Investment Policy Committee and Investment Strategy Team.
Peter was previously a Managing Director of the Manulife Strategic Income Fund Team, responsible primarily for developing and implementing currency strategies for the Global Fixed Income Team. In this role he worked closely with Dan Janis in providing input on macro asset allocation decisions.
Prior to Manulife, Peter was Global Head of Trading at US Bank and earlier in his career held management roles at JP Morgan and Morgan Stanley.
“Our goal is to capture opportunities for robust income streams while maintaining a laser-like focus on risk management.”
Peter’s philosophy
Peter and the Agile team employ a unique investment style that combines top-down sector analysis with bottom-up security selection. Their risk-conscious, diversified approach incorporates a proprietary macroeconomic view, active currency management and nimble interest rate strategies with the goal of helping investors achieve attractive outcomes across the entire credit cycle.
Market insights
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2025 Market Outlook
Reports | Dec. 17, 2024
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Update on the IA Clarington Agile Global Total Return Income Fund
Webcasts | Nov. 25, 2024
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An Update on the IA Clarington Core Plus Bond Fund
Videos | Oct. 30, 2024
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Introducing Agile Investment Management
Webcasts | Sep. 12, 2024