Mark is a Portfolio Manager and Head of Floating Rate Loan Trading in the High Yield Credit Group. He is responsible for the management of non-investment grade assets, including floating rate loans and high yield bonds. He is also responsible for secondary floating rate loan trading. IN addition, he is a Portfolio Manager on all floating rate loan mandates, including retail mutual funds, institutional accounts, and CLOs.
Mark joined the firm in 2003. Previously, he was a Leveraged Finance Portfolio Manager for Lyon Capital Management. He has also worked at Crèdit Lyonnais and First Fidelity Bank in various capacities in the leveraged and corporate finance markets, as well as middle market lending. He has worked in the financial services industry since 1984.
Mark earned a B.A. from Muhlenberg College and an M.B.A. from Rutgers Business School.
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