Title VP, Portfolio Manager, Mackenzie Systematic Strategies Team Company Bio Investment experience since 2000 Matthew Cardillo, Vice President, is part of the Systematic Strategies Team at Mackenzie Investments. Matthew manages investment products for the Systematic Strategies team, conducts investment research, and oversees equity risk management. Matthew joined Mackenzie Investments in 2012. From 2006 to 2012, Matthew was a Senior Portfolio Manager at State Street Global Advisors (SSgA), where he managed 2.5 billion USD in long-only and short-extension (130/30) strategies in the U.S., Canadian, and global markets. In addition to managing institutional client portfolios, Matthew also developed new investment products for SSgA, including a global managed-volatility fund, inflation- and tax-aware investment solutions, long-short equity products, and macroeconomic-oriented rotation models. Prior to SSgA, from 2000 to 2005, Matthew worked as an Associate Economist for the Federal Reserve System of the United States, analyzing issues affecting the U.S. macroeconomy and conducting monetary-policy research. Matthew holds a M.Sc. in Engineering from Johns Hopkins University, as well as a dual bachelor’s in Economics and Mathematics from the University of Colorado at Boulder. He is also a CFA Charterholder. Hear from Matt Cardillo to find out how you can improve the efficiency of your clients’ balanced portfolios by adding a managed allocation to non-traditional asset classes. These assets, when combined with a traditional balanced portfolio using our proprietary system, can improve returns, reduce volatility, and give your clients one-ticket access to a diverse range of return streams that offer a reduced correlation to traditional stocks and bonds. |