Head of Institutional - Fixed Income
Mark is a senior credit and fixed income specialist with over 20 years of experience in global financial markets. He is a highly knowledgeable sales person covering global and domestic financial markets from a credit intensive perspective. Prior to joining FIIG, Mark’s most recent role was at Aquasia, where he analysed single name corporate credits and provided a macro strategy overview for its highly successful Credit Fund. Before Aquasia, Mark was Director, Credit & Structuring at ABN AMRO (Sydney), where he covered global and domestic credit markets from a strategy/research, trading desk and sales perspective. Prior to joining ABN AMRO, Mark spent nearly seven years at JPMorgan in London – two years in high yield sales and five years in high yield research. He has also worked at and Commonwealth Investment Management in Sydney (credit research) and Dresdner Kleinwort Benson in London (credit trading/credit research/gilt sales). Mark is currently Head of Institutional Fixed Income and manages a team of six sales people covering the very broadly defined institutional sector. In April 2016, Mark joined FIIG as Head of Credit Strategy and Research and moved to his current role in June 2018. Mark holds a Diploma in Management Studies from the Judge Business School, Cambridge, and a MA Honours Degree in Economics from Downing College, Cambridge University. He has won several awards that recognise his research. These include various Insto Magazine, CFO Magazine, Credit Magazine and Institutional Investor. Mark is a Chartered Financial Analyst (CFA) charterholder.
02 9697 8761