Mark brings 30 years of experience in global financial markets, with expertise in trading, risk management, and investment product selection. He plays a key role in selecting and analysing the funds used in MKC Invest’s model portfolios.
Throughout his career, Mark has worked in New York, London, and Munich, specialising in equities and bonds. He has traded UK and Japanese equities at SG Warburg and held senior trading positions in corporate bonds at major global investment banks, including Citibank, JP Morgan, and Deutsche Bank. His deep knowledge of market dynamics and risk management helps ensure that MKC Invest portfolios are constructed and monitored with precision.
To speak to someone call 020 7702 4488 or email enquiries@mkc-invest.com.