Johnny Mak is a portfolio manager on the emerging markets debt team. Mr. Mak is the regional portfolio manager for non-Japan Asia, responsible for the analysis and management of hard and local currency emerging markets debt. Mr. Mak is also portfolio manager for the emerging markets sleeves of multi-sector and insurance portfolios. Previously, Mr. Mak was an analyst for the portfolio analysis group for emerging markets and non-dollar fixed income portfolios, focused on formulating trade strategies, risk analysis, and performance attribution. Mr. Mak joined the firm in 1997. He received a BS in finance with a focus on Asian studies and international business from Seton Hall University.
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