Mark has 21 years’ experience in portfolio management, trading, risk management and strategy development with a broad knowledge gained through managing Currency, Global Equity, Global Fixed Income, Multi-Asset and Multi Strategy portfolios. He has utilised both Fundamental and Quantitative approaches for trading physical and derivative instruments.
- Significant roles have included:
- Head of Multi-Strategy Funds, London Aviva Investors
- Head of Multi-Asset Portfolios, The Netherlands NN Investment Partners
- Senior Portfolio Manager, Multi-Asset & Global Equity, Australia ING Investment Management
- Portfolio Manager, Fixed Income and Multi-Asset, Australia UBS Global Asset Management
- Masters of Applied Finance, Macquarie University
- Bachelor of Science, Waikato University