Profile
Ms. Diane J.
Young, CFA, is a Chief Investment Officer at Gore Mutual Insurance Co. She brings a wealth of experience and expertise in the fixed income asset class.
Ms. Young holds a Bachelor of Commerce degree from the University of Guelph.
She also holds a designation as a Chartered Financial Analyst.
Diane Young active positions
| Companies | Position | Start |
|---|
Former positions of Diane Young
| Companies | Position | End |
|---|---|---|
Addenda Capital, Inc.
Addenda Capital, Inc. Investment ManagersFinance Addenda Capital is committed to sustainable investing and favors a disciplined approach to long-term investing. | Head-Fixed Income Invts | 2023-06-30 |
Co-Operators Investment Counselling Ltd.
Co-Operators Investment Counselling Ltd. Investment ManagersFinance CIC offers a variety of investment products, including Canadian and U.S. equities and fixed-income for balanced and specialist mandates. Specialist mandates include expertise in socially responsible investing, Canadian equities, U.S. equities, and fixed-income, such as interest rate anticipation, interest rate plus, high yield, short-term, long-term and duration constrained bonds. The firm's equity portfolios are actively managed. Top-down sector emphasis is applied to construct Canadian equity portfolios. The equity team formulates a portfolio strategy based on the themes and sectors that benefit from the forecast environment. Within these sectors, value and growth companies, with a bias to value, are selected. Excellent company management, product momentum, a strong balance sheet and a stock price that has not yet discounted the company's potential are all characteristics of their Canadian equity portfolios. CIC's active fixed-income style applies multiple investment strategies to the management of bonds. Based on economic and market forecasts derived from our top-down approach, the fixed-income team employs a range of investment strategies, such as interest rate anticipation, yield curve management, trading among sectors, individual security selection and credit analysis to moderate risk and enhance portfolio returns. The firm uses a team approach to investment management. Portfolio managers, specialized by asset class, operate from the same investment outlook and participate in the asset mix decision. | Portfolio Manager-Fixed Income | 2008-03-30 |
Training of Diane Young
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
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Female
Members of the board
Executives
Linked companies
| Private companies | 3 |
|---|---|
Co-Operators Investment Counselling Ltd.
Co-Operators Investment Counselling Ltd. Investment ManagersFinance CIC offers a variety of investment products, including Canadian and U.S. equities and fixed-income for balanced and specialist mandates. Specialist mandates include expertise in socially responsible investing, Canadian equities, U.S. equities, and fixed-income, such as interest rate anticipation, interest rate plus, high yield, short-term, long-term and duration constrained bonds. The firm's equity portfolios are actively managed. Top-down sector emphasis is applied to construct Canadian equity portfolios. The equity team formulates a portfolio strategy based on the themes and sectors that benefit from the forecast environment. Within these sectors, value and growth companies, with a bias to value, are selected. Excellent company management, product momentum, a strong balance sheet and a stock price that has not yet discounted the company's potential are all characteristics of their Canadian equity portfolios. CIC's active fixed-income style applies multiple investment strategies to the management of bonds. Based on economic and market forecasts derived from our top-down approach, the fixed-income team employs a range of investment strategies, such as interest rate anticipation, yield curve management, trading among sectors, individual security selection and credit analysis to moderate risk and enhance portfolio returns. The firm uses a team approach to investment management. Portfolio managers, specialized by asset class, operate from the same investment outlook and participate in the asset mix decision. | Finance |
Addenda Capital, Inc.
Addenda Capital, Inc. Investment ManagersFinance Addenda Capital is committed to sustainable investing and favors a disciplined approach to long-term investing. | Finance |
University of Guelph
University of Guelph Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
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