David Bezic

David Bezic is a market economist and investment strategist with more than 20 years of experience in equity strategy, asset allocation and thematic research. He has held several positions with leading Canadian financial institutions, including RBC Capital Markets, CIBC World Markets and the Ontario Teachers’ Pension Plan. He also has public sector experience, having spent the earlier part of his career at the Ontario Ministry of Finance and as a participant in UN- and CIDA-sponsored programs in Asia. David holds an MBA from the Ivey School of Business, an MA (Economics) from Queen’s University, a BA (Economics) from McMaster University and is a CFA® Charterholder.

The novel coronavirus has brought with it an unprecedented shuttering of the global economy and an equally unprecedented policy response. The speed and scale at which central bankers and politicians have moved has already surpassed anything seen during the credit crisis. On the monetary policy front, we have seen rates cut to zero, the announcement […]

  • April 9, 2020 February 5, 2021
  • 09:39

As financial professionals, we deal with money daily, but few of us have the time to step back and think about what exactly it is that we are investing, trading, or risk managing. Money is just there in a way similar to gravity or oxygen. This lack of scrutiny has allowed money to become a […]

  • February 5, 2020 February 18, 2021
  • 06:38