Mark is a highly experienced investment professional with particular emphasis on the trading and risk management of a wide range of investment products.
He is now applying this knowledge to help us with the selection and ongoing analysis of the funds in our model portfolios. He has worked in global financial markets for 30 years, most of which he spent trading and marketing equities and bonds. He has worked in New York, London and Munich. He started his career trading UK and Japanese equities at SG Warburg and then held a number of senior positions trading corporate bonds at some of the largest global investment banks including Citibank, JP Morgan and Deutsche Bank. Latterly, he oversaw the risk management of Deutsche Bank’s global loan portfolio and chaired its loan screening committee.
He holds a degree in Management Sciences from the University of Manchester Institute of Science and Technology.
To speak to someone call 020 7702 4488 or email enquiries@mkc-invest.com.