Pablo Martinez Auhtor Headshot Image

Pablo Martinez

Pablo Martinez has portfolio management responsibilities for a variety of fixed income solutions including short and mid-term bond portfolios with a focus on private client mandates. He is also a contributor to the firm’s research specialization model.

Prior to joining CIBC Asset Management’s predecessor firm in 2002, Mr. Martinez was a Fixed Income Trader with Merrill Lynch.

Mr. Martinez holds a Master of International Business degree from École des hautes études commerciales and a Bachelor of Commerce degree from McGill University. He is also a CFA charterholder and a member of the CFA Society of Montreal.

Fixed Income

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It’s time to move target maturity bonds into other strategies

CIBC’s Pablo Martinez says funds closing this year are already trading close to par.

By Pablo Martinez |June 23, 2025

9 min 28 sec | Related Article

Fixed Income

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U.S. tariffs will put Canadian corporate spreads at risk

Pablo Martinez of CIBC Asset Management says economic and policy curve balls are creating bond market volatility.

By Pablo Martinez |February 24, 2025

8 min 37 sec | Related Article

Fixed Income

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Fixed-Income Outlook and Opportunities

Corporate bonds still offer good value, portfolio manager says.

By Pablo Martinez |September 18, 2024

10 min 51 sec | Related Article

Fixed Income

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Opportunities in Corporate Bonds

Investors can take advantage of higher yields, inverted curve, portfolio manager says.

By Pablo Martinez |March 28, 2024

12 min 13 sec | Related Article

Fixed Income

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How to Invest for the Bond Rebound

Short-term corporates offer opportunities, PM says.

By Pablo Martinez |February 6, 2023

9 min 35 sec | Related Article