Diana Amoa is the CIO of Long Biased Strategies at Kirkoswald, based in New York. Prior to this role, Diana was a managing director and senior portfolio manager at JPMorgan Asset Management co managing in excess of USD 10 bn in global fixed income and currency strategies Diana has also previously held EM fixed income and FX trading roles at UBS, Société Générale and Standard Chartered Bank.
Diana holds an MSc and MBA from the University of Oxford, where she attended as a Rhodes Scholar She also holds a BSc in finance and banking from the University of Reading and is a CFA charter holder.
Mark Attanasio is a Director at General Motors Asset Management (“GMAM”). He currently oversees a team responsible for managing an allocation to hedge funds across a number of GM related pension plans. Mark has been a member of this program since its inception in 2001. His primary responsibilities include due diligence, risk management and portfolio construction. Additionally, Mark has managed GM’s Equity and Global Tactical Asset Allocation programs during his career and sits on a several internal committees that oversee GM’s pension assets.
Mark joined GMAM in 1999, where his initial responsibilities were in risk management until his transition into the Absolute Return Strategies Group. Prior to joining GMAM, Mark worked at Bankers Trust Company in their Investment Consulting and Risk Management Groups.
Mark received a BA in Economics and an MBA from Rutgers University. Mark is a Chartered Financial Analyst.
Rohit leads Financial Services at Google Cloud. In this role Rohit enables global financial institutions to leverage next-generation technologies to improve efficiency, manage risk, and improve customer experience. Rohit and his team are hyper-focused on unlocking business
value for financial enterprises, establishing industry-leading partnerships for Google Cloud across exchanges, market makers, asset managers and data providers.
Over the past 20 years in the technology industry, Rohit has rooted his career working within Capital Markets, Exchanges, and Digital Assets. He is a frequent speaker at industry events and podcasts, more recently featured in discussions at venues like Bloomberg and Modern Money. Previously, as a senior leader at Dell EMC, he led strategic initiatives around hybrid cloud. Holding a Master of Science from Northwestern University’s McCormick School of Engineering, he remains a resident of Chicago, IL.
Rohit is passionate about using technology to solve complex problems and believes that the financial services industry is ready for a step-function change and innovation.
Dalia Blass is the Senior Investment Management Partner and a partner in S&C’s Financial Services Group. Her
practice focuses on providing strategic and regulatory advice to asset managers, registered and private funds, fund
boards and their service providers across the range of regulatory, governance, compliance, examination and
enforcement matters they face. She has a unique and deep expertise in the intricate legal, risk and compliance issues
raised by existing and new regulation under the Investment Company Act and the Investment Advisers Act, including
with respect to the design and structuring of innovative fund products and addressing challenging governance
matters. Her leadership in these areas support clients as they navigate the increasingly complex global, federal and
state regulatory landscape facing asset managers.
Ms. Blass joined the Firm in 2023 from BlackRock, where she was Senior Managing Director, Global Head of External
Affairs and a member of BlackRock’s Global Executive Committee. At BlackRock she led teams that managed the
firm’s key regulatory, policy and reputational challenges and opportunities, including with respect to the firm’s
Prior to BlackRock, Ms. Blass served as the Director of the Division of Investment Management at the U.S. Securities
and Exchange Commission (SEC). Under her leadership, the Division of Investment Management finalized more than
70 regulatory initiatives to modernize the regulatory framework for investment companies and investment advisers,
improve the investor experience through modernized disclosure and outreach efforts, elevate the standards of
conduct for financial professionals, and re evaluate the role and responsibilities of fund boards of directors. Ms. Blass
was a member of the SEC’s senior level COVID 19 Market Monitoring Group and contributed to the staff’s report on
the U.S. Credit Markets Interconnectedness and Effects of the COVID 19 Economic Shock. She also co chaired the
Financial Stability Board’s Technical Experts Group on Money Market Funds.
Ms. Blass previously served in a number of leadership roles in the Division of Investment Management for a total of 14
years at the SEC. She has received the SEC’s Distinguished Service Award and the Manuel F. Cohen Award and was
also named in Barron’s inaugural list of the 100 Most Influential Women in U.S. Finance.
She is a member of the Governing Board of the Center for Audit Quality and head of the Board’s nominating and
Mr. Burg has over 20 years of experience in the mortgage-backed and asset-backed securities sector and joined Deer Park in August 2010. Prior to joining Deer Park, he was a Principal at General Capital Partners, where he focused on advising middle market companies in distressed situations. Previously, he was at Pursuit Partners, a $550 million fixed income hedge fund where his focus was on analyzing residential mortgage-backed securities.
Mr. Burg received his MBA from Daniels School of Business at the University of Denver in 2007, and a BS in finance from the University of Colorado in 2001 where he played D1 football.
Pablo E. Calderini is the President and Chief Investment Officer of Graham Capital Management, L.P. (“GCM”), an alternative investment firm with approximately $17 billion in AUM as of August 1, 2021. Mr. Calderini is responsible for the management and oversight of the discretionary and systematic trading businesses at GCM, among other things. Mr. Calderini is also a member of the firm’s Executive, Investment, Risk and Compliance committees. He joined GCM in August 2010 and became an Associated Person and Principal of GCM effective August 13, 2010. Prior to joining GCM, Mr. Calderini worked at Deutsche Bank from June 1997 to July 2010 where he held positions of increasing responsibility, most recently the Global Head of Equity Proprietary Trading. Mr. Calderini commenced his career at Deutsche Bank as Global Head of Emerging Markets. During his tenure at Deutsche Bank, Mr. Calderini also helped manage several groups across the fixed income and equity platforms, including the Global Credit Derivatives Team. Mr. Calderini received a B.A. in Economics from Universidad Nacional de Rosario in 1987 and a Masters in Economics from Universidad del CEMA in 1989, each in Argentina.
John Claisse joined Albourne in July 1996, relocated from London to San Francisco in July 2003 and became Albourne Group CEO in August 2015. John is an equity partner and member of Albourne’s Executive Committee and also chairs the firm’s Corporate Planning Council, which comprises Albourne’s function and region heads. John helped develop the firm’s proprietary risk analytics and was formerly the Senior Analyst for quantitative equity strategies and multi-strategy hedge funds. John remains a Portfolio Analyst working with several public and corporate plans, large endowments and foundations. John also serves on the Advisory Board of the University of Sussex Business School, on the Board of Trustees of Standards Board of Alternative Investments (SBAI), and on the Governing Board of The Robert Toigo Foundation.
John holds a first class Mathematics Degree and a PhD from Sussex University.
Albourne is an independent advisory firm focused on hedge funds, private equity, private credit, real assets, real estate and dynamic beta. Founded in 1994, Albourne has over 330 clients with over $700bn invested directly in alternative investments.
Bryan Corbett is MFA’s President and CEO. He is a veteran of Washington and Wall Street. For the past 12 years, he was a senior executive at The Carlyle Group, most recently as Managing Director in the Corporate Private Equity segment and Head of the firm’s OneCarlyle Global Investment Resources Group. In this role, Mr. Corbett and his team provided strategic and operational support to investment teams and portfolio companies across segments.
For the first half of his Carlyle tenure, Mr. Corbett managed U.S. government and regulatory issues affecting Carlyle, its investments and the industry. In this role, he developed legislative and regulatory strategies relating to all of Carlyle’s business segments, including private equity, credit and real estate. In addition to serving on the boards of several Carlyle portfolio companies, Mr. Corbett started the firm’s global corporate citizenship program focused on responsible investing, published Carlyle’s inaugural corporate citizenship report, and started the firm’s initiative to recruit and place diverse individuals on portfolio company boards in the U.S.
Prior to joining Carlyle, Mr. Corbett served in the George W. Bush Administration as a Special Assistant to the President for Economic Policy and as the Senior Advisor to Deputy Secretary Robert Kimmitt at the Treasury Department. He also served as Majority Counsel on the Senate Banking Committee.
Mr. Corbett earned his JD from George Washington University Law School, where he was editor-in-chief of the George Washington Law Review, and earned his BA from University of Notre Dame.
Joe Dowling is a Senior Managing Director and the Global Head of BAAM, where he oversees and leads all of BAAM’s investment activities.
Prior to joining Blackstone in 2021, Mr. Dowling led Brown University’s endowment, including as Chief Executive Officer from July 2018 to July 2020 and Chief Investment Officer from June 2013 to July 2018. Mr. Dowling also served as interim Chief Financial Officer of the University from May 2019 until January 2020, leading all finance and treasury functions as well as cash and debt management.
Before joining Brown University, he was the Founder and Chief Executive Officer of Narragansett Asset Management, where he managed funds for institutions, pension funds, and endowments. Mr. Dowling has also worked for First Boston and Tudor Investments.
Mr. Dowling has a B.A. from Harvard College and an MBA from Harvard Business School.
Jillien Flores serves as Executive Vice President, Managing Director, Head of Global Government Affairs at Managed Funds Association (MFA).
Flores joined MFA after six years at Vanguard, one of the world’s leading asset managers. There, she advocated before Washington policymakers on a range of issues related to US capital markets, tax, and retirement policy. Leveraging policy depth, strategy, and relationships, Flores achieved policy outcomes beneficial to Vanguard’s clients on issues including equity market structure, ESG and corporate governance, and systemic risk.
Throughout her career, Flores has sought opportunities to advance Diversity, Equity, and Inclusion within the financial services sector, serving in leadership roles of related efforts at Vanguard.
Prior to joining Vanguard, Flores was Director of Government Relations at Porterfield, Lowenthal, Fettig & Sears, where she represented clients before Congress and the federal financial regulators in the asset management, insurance, securities, and biotechnology sectors. She was involved in the legislative and rule-writing process for several financial services laws and regulations, including the Dodd-Frank Wall Street Reform and Consumer Protection Act and the Jumpstart Our Business Startups Act.
Flores earned a B.A. from the George Washington University in Washington, DC.
Marcus Frampton, CFA, CAIA, FRM is the Chief Investment Officer of the Alaska Permanent Fund Corporation. Mr. Frampton has been with APFC since 2012 and previously served as the Director of Investments, Real Assets & Absolute Return.
Prior to joining APFC, Marcus held diverse roles ranging from investment banking with Lehman Brothers, private equity investing with PCG Capital Partners, and was an executive with LPL Financial.
Mr. Frampton holds a BA in Business-Economics with a minor in Accounting from UCLA.
David Francl is Managing Director of Absolute Return for the City and County of San Francisco Employees’ Retirement System (SFERS) where he oversees a multi-billion-dollar absolute return program. Prior to joining SFERS in early 2016, David spent over 18 years in a variety of management roles at Intel Corporation where he most recently served as a Director of Treasury Retirement Investments. David’s two decades of experience span the capital markets and include corporate acquisitions, co-investments, secondary market transactions and extensive alternative investment manager research and selection. His educational background includes a BBA from the University of Wisconsin and MBA from the Haas School of Business, UC – Berkeley. Additionally, he is a Certified Public Accountant. He is a member of the Berkeley-Haas Hedge Fund Strategies Advisory Panel and guest lecturer at the Haas School of Business, UC-Berkeley, as well as a frequent speaker at investment industry events. David is a founding member of the San Francisco Absolute Return Institute and serves on the investment committee of a Bay Area endowment.
Joshua S. Friedman is Co-Founder, Co-Chairman and Co-Chief Executive Officer of Canyon Partners, LLC, a leading global alternative asset management firm. Canyon employs a deep value, credit intensive approach with a focus on special situations and other complex investments. The firm’s strategies include distressed, special situation financings, securitized assets, real estate, arbitrage, convertible bonds, and value equities. Canyon’s flagship fund, the Canyon Value Realization Fund, twice received Institutional Investor’s “Credit-Focused Hedge Fund Manager of the Year” Award. Additionally, the Canyon Structured Asset Fund received Institutional Investor’s “Hybrid Hedge Fund of the Year” Award. Mr. Friedman has also received Institutional Investor’s “Lifetime Achievement” Award.
Mr. Friedman is a graduate of Harvard College (1976) (B.A., summa cum laude, Phi Beta Kappa, Physics), Oxford University (1978) (M.A., honors, Politics and Economics, Marshall Scholar), Harvard Business School (1980) (M.B.A., Baker Scholar) and Harvard Law School (1982) (J.D., Sears Prize, magna cum laude). Prior to forming Canyon, Mr. Friedman was Director of Capital Markets for High Yield and Private Placements at Drexel Burnham Lambert. Prior to working at Drexel, he worked in the Mergers and Acquisitions Department of Goldman Sachs in New York.
Mr. Friedman is a member of the Board of Directors of Harvard Management Company (Chair of Audit and Compensation Committee). He is also a member of Harvard’s Committee on University Resources and the Harvard Business School Board of Dean’s Advisors. Mr. Friedman serves as a Trustee for The Andrew W. Mellon Foundation (Chair of Investment Committee); California Institute of Technology (Caltech) (Executive Committee and Investment Committee (ex-Chair)); Lincoln Center for the Performing Arts (Finance Committee); and Los Angeles County Museum of Art (LACMA) (Executive Committee, Chair of Finance Committee). Mr. Friedman is a member of Investment Committee of the Broad Foundation and a member of the George W. Bush Presidential Center Executive Advisory Council.
Mr. Friedman formally served as a Trustee for the Los Angeles Philharmonic (2015-2020) and as a member of the Investment Committee of the J. Paul Getty Trust (2019-2021). Mr. Friedman also formerly served on the Board of Advisors of the UCLA Hospital Department of Neurosurgery (2009-2020); the UCLA Anderson School of Management (2017-2020); and the California Science Center (2010-2012).
Mr. Friedman and his wife, Beth, live in Dallas and have three sons. Mr. and Mrs. Friedman co-endowed the Star-Friedman Challenge for Promising Scientific Research at Harvard University and are 2019 recipients of the Ellis Island Medal of Honor.
Tim Gately is Managing Director and Head of Equities Sales for the Americas at Citi. Prior to taking on his current role in early 2021, Tim held a number of other key roles within the Citi Equities business, including most recently EMEA Head of Cash Equity Execution Services and prior to that as Head of Americas Equities.
Prior to joining Equities, Tim served as Head of European Credit trading in London from 2008 – 2015. He was responsible for the trading of Loans, Investment Grade and High Yield cash and credit derivatives in the region. Additionally, Tim managed Credit Sector Specialist analysts based in EMEA. Tim joined Citi in July of 2008.
Prior to 2008, Tim spent 5 years at Goldman Sachs, most recently as Co-Head of European High Yield and Distressed Trading.
From 2001 to 2003, Mr. Gately worked at JP Morgan as Head of High Yield Trading. He joined JP Morgan from ABN AMRO, where he served as Head of High Yield Trading.
Tim graduated from Fairfield University in 1993 with a degree in History. Tim currently lives in New York.
Suzanne K. Gibbons, Managing Member – Distressed Investments, joined Davidson Kempner in July 2007. Ms. Gibbons was appointed Managing Director in January 2015 and became a Managing Member in January 2020. From 2003 to 2005, Ms. Gibbons worked as an Associate at Montgomery & Co., advising healthcare companies on private placements and mergers and acquisitions. From 2001 to 2003, she was an Analyst in the healthcare investment banking group at JPMorgan. Ms. Gibbons received her M.B.A. from Harvard Business School in 2007 and her B.A. from Dartmouth College in 2001.
In his role as Co-Chief Investment Officer, Thibault is responsible for overseeing the firm’s portfolio management, risk management, asset allocation, and investment decisions with respect to the Successor Funds. He is responsible for the management of the ACO funds as well as stressed and distressed credit products. Thibault is also responsible for the research and trading process supporting Anchorage’s Legacy Funds, ACP and AIO products. He is a voting member of Anchorage’s Investment Committees, the Proxy Voting Committee, the Allocation Committee, and Co-Chair of the Research Review Committee. Thibault joined Anchorage in January 2009 to help establish the firm’s London office and develop the firm’s European research and investment efforts. Prior to joining Anchorage, Thibault was a Vice President at Greywolf Capital. Prior to joining Greywolf, he was an Analyst on the distressed bond desk at Goldman Sachs in New York. Thibault has a total of 22 years of experience in the financial services industry and received a B.S. in Engineering and a B.A. in Economics from Brown University, where he graduated magna cum laude.
Paul Goldschmid is a Partner and Co Portfolio Manager at King Street. Paul is a member of the Management Committee, Global Investment Committee, Risk Committee and Conflicts Committee. Prior to joining King Street in 2006, Paul was an Analyst at Compass Partners International, a boutique merchant banking firm, focusing on principal investments and cross border mergers and acquisitions.
Paul received a B.A. from Harvard University and a J.D. and M.B.A. from Columbia University.
Ken Griffin is the Founder, Chief Executive Officer, and Co-Chief Investment Officer of Citadel, one of the world’s leading alternative investment firms. Intrigued by finance, Ken began investing in 1986 as a freshman at Harvard. Four years later, he founded Citadel, driven by a focus on the combination of exceptional talent, advanced predictive analytics, and powerful software engineering. Today, the Citadel team of over 2,500 professionals is globally recognized as a market leader, investing on behalf of the world’s preeminent research institutions, universities, and healthcare organizations, with the mission of delivering superior long-term returns.
In 2002, Ken and his partners established Citadel Securities, now one of the leading global market makers. Serving more than 1,600 clients, including many of the largest sovereign wealth funds and central banks, Citadel Securities has delivered enormous benefits to investors around the world. Over the past two decades, through its trading, research, and technology, Citadel Securities has created more transparent, resilient, and competitive markets both in the U.S. and abroad. Ken is Non-Executive Chairman of Citadel Securities.
A passionate philanthropist, Ken is committed to strengthening humanity’s future by supporting initiatives that advance breakthroughs in science and medicine, and expand access and opportunity in education. His catalytic giving empowers students across our country to succeed and enables people to live longer and healthier lives.
Most recently, during the COVID-19 crisis, Ken took immediate action and mobilized partners across government, business, and healthcare to fund critical research. He played a key role in helping to safely return hundreds of Americans from Wuhan, China. Additionally, Ken’s thought leadership was instrumental in architecting Operation Warp Speed’s accelerated vaccine development strategies, which ultimately saved hundreds of thousands of lives.
As the pandemic engulfed America and schools were closing their doors, Ken enabled students to continue their learning by playing a leadership role in providing free high-speed broadband access to 400,000 low-income homes across Chicago and Miami. Championing his belief that a high-quality education is the on-ramp to the American Dream, Ken has funded transformative undergraduate scholarships to equip thousands of low-income and first-generation students with the skills and tools needed to succeed.
Ken holds an A.B. in Economics from Harvard College.
Anders W. Hall serves as Vanderbilt University’s vice chancellor for investments and chief investment officer. He leads the Office of Investments, where he is responsible for managing the university’s $7 billion long-term investment pool, including the endowment. Vanderbilt’s endowment serves as the financial underpinning for the university’s mission of teaching, cutting-edge research, and service.
Hall came to Vanderbilt in September 2013 from Duke University, where he worked for over a decade as head of public securities for DUMAC, the university’s investment management company. He oversaw public investments for the Duke University endowment, pension plan, health system’s long-term assets, and the Duke family foundation.
Prior to that, Hall was an investment consultant with Hewitt Investment Group in Rowayton, Connecticut, and Atlanta, Georgia, where he advised approximately 20 institutional clients. They included the New York Stock Exchange, Freddie Mac, and the University of Alabama System.
He also spent three years in the Prudential Advanced Management Development Program, a highly-selective leadership training program based in Newark, New Jersey.
Hall, a chartered financial analyst, double-majored in public policy studies and economics at Duke University, where he earned a bachelor of arts in 1993. He earned an MBA from the New York University’s Stern School of Business, where he majored in finance and economics and graduated with high honors in 1999.
Hall serves on the boards of Big Brothers Big Sisters of Middle Tennessee, the Pi Kappa Phi Foundation, Rock the Street Wall Street, and The Healing Trust. He previously served as a member of the governing board of Westminster Presbyterian Church and co-chaired the Annual Fund at University School of Nashville.
Hall lives in Nashville with his wife, Joanna, and their three children: Latham, Stewart, and Charlie.
Charlotte Hamill is a principal at Bracebridge Capital focused on both the firm’s structured products and energy transition assets. Bracebridge is a Boston-based hedge fund manager with approximately $12 billion under management. For over 25 years, the firm has focused on generating returns that are largely uncorrelated with broad moves in equities, currencies, and rates. Ms. Hamill is the co-head of the firm’s structured products group and is the portfolio manager for commercial real estate-related investments, including U.S. and European commercial mortgage-backed bonds, synthetic indices, loan portfolios, direct asset holdings and other bespoke structures. Ms. Hamill is also involved in evaluating non-performing loan and complex instrument trades spanning residential, commercial and unsecured consumer debt in the global ABS portfolio. Additionally, she is the portfolio manager for our environmental markets investments including carbon credits and related derivatives. She joined Bracebridge Capital in 2006. Ms. Hamill graduated cum laude from Harvard University with an A.B. in Applied Mathematics and Economics and a citation in French.
Jennifer Han serves as Associate General Counsel at Managed Funds Association (MFA). In her position, she advocates and shapes legislative and regulatory policies affecting the alternative investment industry in the U.S., Europe and Asia. She advises on, develops and implements strategies for MFA members in seeking legal, regulatory and compliance changes and/or guidance for investment advisers, commodity trading advisors and commodity pool operators. She has extensive experience working with policy makers and regulators, such as throughout the financial crisis, post-crisis and to refinement of today’s regulatory framework. She works regularly with legislative policy makers and regulators, including the SEC, CFTC, Department of Treasury, Federal Reserve, NFA, ESMA, UK FCA and IOSCO, among many others.
As background, MFA represents the global alternative investment industry and its investors by advocating for sound industry practices and public policies that foster efficient, transparent, and fair capital markets. MFA, based in Washington, DC, is an advocacy, education, and communications organization established to enable hedge fund and managed futures firms in the alternative investment industry to participate in public policy discourse, share best practices and learn from peers, and communicate the industry’s contributions to the global economy. MFA members help pension plans, university endowments, charitable organizations, qualified individuals and other institutional investors to diversify their investments, manage risk, and generate attractive returns over time. MFA has cultivated a global membership and actively engages with regulators and policy makers in Asia, Europe, the Americas, Australia and many other regions where MFA members are market participants.
Prior to joining MFA, Jennifer was a staff attorney in the Office of Compliance Inspections and Examinations at the SEC, where she conducted inspections and examinations, and advised on legal and compliance matters relating to developments in securities regulations and industry practices. Jennifer began her legal career as an associate with Pickard and Djinis LLP, a boutique securities law firm in Washington, D.C. She received her Bachelor of Arts degree from Cornell University and her Juris Doctor from American University. While in law school, she was an Editor of the American University International Law Review. Jennifer is a member in good standing of the Virginia bar.
Claudio Irigoyen is managing director and head of Global Economics Research for BofA Global Research. In this capacity, he oversees the Global Economics Research team, coordinates global economics forecasts and reports on the global economic landscape.
Prior to being named head of Global Economics Research, Irigoyen was head of Latin America Economics, Equities and Fixed Income and Foreign Exchange Research. He ranked number one for several years in the Latin America Institutional Investor surveys, and under his leadership, the Latin America team ranked first overall.
Before joining BofA in 2011, Irigoyen served as head of Global Macro Trading at Deutsche Bank Proprietary Trading. Prior to joining Wall Street, he served as chief economist and director of monetary policy at the Central Bank of Argentina for half a decade. Irigoyen holds a Ph.D. in economics from the University of Chicago. He is based in New York.
Meredith B. Jenkins is chief investment officer for Trinity Church Wall Street, where she is responsible for the investment management and oversight of the church’s endowment and real estate holdings.
Prior to joining Trinity, Ms. Jenkins was the co-chief investment officer of Carnegie Corporation of New York, Andrew Carnegie’s foundation, from 2011 to 2016. She joined in 1999 as its first investment associate and was an integral part of the build-out of the corporation’s investment capability under its first chief investment officer.
After moving to Hong Kong in 2007 for family reasons, Ms. Jenkins served as the corporation’s special representative to Hong Kong, focusing on investment opportunities in Asia, including China, Japan, India, Southeast Asia and Australia. During this time, she continued as an active member of the investment leadership team. Before joining Carnegie Corporation, she was a buy-side equity research associate for Sanford C. Bernstein & Co. and an investment banking analyst at Goldman Sachs.
Ms. Jenkins received a B.A. in English language and literature, with distinction, from the University of Virginia, where she was elected to Phi Beta Kappa, and an M.B.A. degree from Harvard Business School.
She serves on the investment committees and boards of trustees of The Wenner-Gren Foundation, The Josiah Macy Jr. Foundation, and The Windward School. She is married and the mother of three boys.
Geeta Kapadia is the Chief Investment Officer of Fordham University, where she manages the endowment of $1 billion in assets and oversees all aspects of the portfolio management process. Prior to joining Fordham in August 2022, she was the Associate Treasurer of Investments at Yale New Haven Health System, where she led the team responsible for managing over $5 billion in system assets. Prior to joining Yale New Haven in 2009, she was a senior consultant at Mercer in London and in Edinburgh, and she served as the head of marketing at Capital Metrics in Pune, India. She earned her BA from the University of Chicago and her MS in financial markets from Illinois Institute of Technology. She is a CFA charterholder and serves as board president of Chester County Family Academy.
Karen Karniol-Tambour is Co-Chief Investment Officer at Bridgewater Associates, responsible for managing the company’s investment process. Karen oversees the systemization of Bridgewater’s research into trading strategies, manages the development of proprietary investment management models, directs the design and implementation of client investment strategies, and publishes timely market understanding to clients and global policy makers via Bridgewater’s Daily Observations. She also co-leads the firm’s Sustainable Investing efforts, overseeing the design of new investment solutions with both financial and sustainability objectives. Karen joined Bridgewater in 2006 after graduating from Princeton University. She serves on the boards of Search for Common Ground and Seeds of Peace. Karen is a World Economic Forum Young Global Leader, was included in Fortune’s “40 Under 40” most influential leaders in business in 2019, and has been named to Barron’s list of “Most Influential Women in US Finance” for three years in a row.
Bryan Kelly is a Managing Director and Head of Machine Learning at AQR Capital Management. In addition to his role as Head of Machine Learning, Bryan is also a Professor of Finance at the Yale School of Management, a Research Fellow at the National Bureau of Economic Research and an Associate Director of SOM’s International Center for Finance, and was a tenured professor of finance at the University of Chicago Booth School of Business from 2010 to 2017. His research has been published in the American Economic Review, the Quarterly Journal of Economics, the Journal of Finance, the Journal of Financial Economics, and the Review of Financial Studies, among others. Bryan earned an A.B. in economics from the University of Chicago, an M.A. in economics from the University of California, San Diego and a Ph.D. in Finance from New York University.
Michael Kahn is a Chambers USA-ranked lead trial lawyer with significant victories at virtually every stage of litigation. Building upon long-term relationships of trust, Michael is called upon to take the lead on business-critical matters involving IP and related complex commercial disputes. Michael proactively evaluates and addresses patent infringement and trade secret claims in the context of his clients’ market position and business goals. Working closely with in-house attorneys and executives, he wields his substantial skill as a strategist to manage complex cases to successful business resolutions or trial wins.
Michael has significant experience in all aspects of intellectual property litigation, including successes in district courts across the country, the International Trade Commission, the Patent Trial and Appeals Board and numerous alternative dispute resolution forums.
Michael is also called upon regularly for IP advisory matters outside of active litigation, including transactional diligence, investment assessment and litigation management.
In addition to other awards and accolades, Michael was ranked by Chambers USA as a leading practitioner in Intellectual Property: Patent–New York, 2022, described as a “strong, talented partner who presents arguments really well” and named a Client Service All-Star by BTI Consulting Group in 2020, which recognizes lawyers who have been identified by their clients as “delivering the absolute best levels of client service.”
He sits on the firm’s Partnership Admissions Committee, the Executive Hiring Committee and the New York Diversity, Equity and Inclusion Council.
James serves as the Deputy Chief Investment Officer for Arizona Public Safety Personnel Retirement System (PSPRS) and works on developing strategic initiatives, process improvements, and provides leadership support to meet the goals and objectives of the trust’s investment program. He joined the investment team in 2018 and manages investments for the diversifying strategies portfolio and has managed the contractual income portfolio.
James has more than a decade of experience in building investment programs, portfolio construction, and alternative investment management. Prior to joining PSPRS, James worked for MIG Capital, Wedbush Securities, Roth Capital, and PricewaterhouseCoopers.
James holds a BA in Business Economics from the University of California, Los Angeles and is a CFA charter holder and CPA. James and his wife, Christina, have two children.
Peter Kraus is the Chairman and CEO of Aperture. For over four decades, Peter has worked at major financial institutions including Goldman Sachs, Merrill Lynch, and most recently at AllianceBernstein (AB) where he served as Chairman and CEO, successfully leading the firm’s turnaround after the crisis in 2008. Throughout his career, Peter has been a vocal proponent of pay-for-performance compensation models and the need for trust between active managers and their clients.
After years of watching diminishing returns and increasing outflows, he concluded that a disruptive idea like performance-linked fees would only be successful in an entirely new firm, one built from scratch with client performance as its primary objective. That’s why Peter teamed up with Generali to launch Aperture in 2018. Peter serves on the boards of multiple organizations including Third Way, Fyllo and The Robert Rauschenberg Foundation, and is the co-founder of The Kraus Family Foundation, a non-profit that supports public art and emerging artists.
Peter received his B.A. in economics from Trinity College and his M.B.A. from NYU’s Stern School of Business.
Mr. Kreiselmaier has over 20 years of investment experience in various roles in both manager due diligence and quantitative
research and portfolio management. At Verus, he is primarily responsible for investment strategy, due diligence, portfolio
construction recommendations and relationship building across the hedge fund universe, and oversight of the firm’s hedge
Prior to joining Verus, he was a senior research analyst at Russell Investments where he was responsible for evaluating,
recommending and monitoring hedge fund managers for inclusion in client portfolios. He began his career at Russell
evaluating US large cap equity and Global Tactical Asset Allocation (GTAA) managers. He also worked at Mellon Capital
Management where he held both research and portfolio management related roles focused on both equity and GTAA
Mr. Kreiselmaier graduated from Trinity University with a bachelor of arts (BA) degree in economics. He also holds a master’s
degree in business administration (MBA) from the University of Texas at Austin. He is a CFA charterholder (Chartered
Financial Analyst) and a member of both the CFA Institute and the CFA Society of Seattle. Mr. Kreiselmaier is also a member
of the Chicago Quantitative Alliance (CQA).
Jonathan Lavine is Co-Managing Partner of Bain Capital, a leading global private investment firm with approximately $175 billion in assets under management, more than 1,650 employees and 24 offices worldwide. He also serves as the Chief Investment Officer of Bain Capital Credit and Bain Capital Special Situations.
Mr. Lavine founded Bain Capital Credit, formerly known as Sankaty Advisors, in 1998. Bain Capital Credit invests across the full spectrum of credit strategies, including leveraged loans, high-yield bonds, distressed debt, private lending, structured products, non-performing loans, equities and insurance solutions. He also created Bain Capital’s special situations investment strategy which provides bespoke capital solutions leveraging credit, equity, corporate and real estate expertise. Together, Bain Capital Credit and Bain Capital Special Situations have approximately $65 billion in assets under management, more than 420 employees and offices in Boston, Chicago, Dublin, Guangzhou, Hong Kong, Lisbon, London, Madrid, Melbourne, Mumbai, New York, Seoul, Singapore and Sydney.
Mr. Lavine joined Bain Capital’s private equity group in 1993. Prior to joining Bain Capital, he was a consultant at McKinsey & Company. He began his career at Drexel Burnham Lambert in mergers and acquisitions.
Mr. Lavine and his wife, Jeannie, formed and oversee the Crimson Lion Foundation which delivers financial resources to a wide variety of nonprofit organizations focused on leveling the playing field for individuals and families. The foundation works to address pressing social challenges in the areas of education, community and public service, health and welfare, discrimination and poverty. It supports the multi-disciplinary efforts of organizations that serve to strengthen society through research, innovation, public policy, direct service and advocacy. To that end, Mr. and Mrs. Lavine have supported a diverse array of organizations including City Year (where Mr. Lavine is Chairman Emeritus of the National Board of Trustees), uAspire (where they have dedicated the Lavine Family Center for College Affordability), WBUR/NPR (where they have dedicated the Lavine Broadcasting Center at CitySpace in Boston), LIFT, Cradles to Crayons, the Equal Justice Initiative and many others. In addition, they have provided major support to healthcare institutions including the Dana Farber Cancer Institute, Massachusetts General Hospital, Boston Children’s Hospital as well as other medical research organizations. They are longtime supporters of Columbia University, where Mr. Lavine serves as Chair of the Trustees of the University and is a former chair of the Columbia College Board of Visitors; and Harvard University, where they endowed the Lavine Family Humanitarian Studies Initiative at the Harvard School of Public Health and provided substantial support to fund scholarships for first-generation students at Harvard Business School.
Mr. Lavine is the 2017 recipient of Columbia University’s Alexander Hamilton Medal, the highest honor awarded to a member of the college community for distinguished service. He is a past recipient of Columbia’s John Jay Award for professional achievement, Columbia’s David Truman Award for outstanding contribution to academic affairs, the Dean’s Leadership Award for the Class of 1988 25th Reunion, Columbia/Barnard Hillel’s Seixas Award, Opportunity Nation’s American Dream Award, Voices for National Service Citizen Service Award and of the New England Anti-Defamation League’s Distinguished Community Service Award. He is the first recipient of the London School of Economics Alternative Investments Conference’s “Distinguished Speaker Honour.” Mr. Lavine was appointed a Member of the United States Holocaust Memorial Museum Council by President Obama and reappointed by President Biden. He is also a member of the investor group and a director of the Boston Celtics.
Mr. Lavine graduated from Columbia College, Phi Beta Kappa and Magna Cum Laude, and holds an M.B.A with Distinction from Harvard Business School. He received an Honorary Doctor of Laws degree from Columbia University in 2023.
Ms. Lee is Co-Head of Private Credit and a member of the Investment Committee. Prior to joining Brigade in 2022, Ms. Lee was the Co-Head of JPMorgan’s Leveraged Capital Markets Group. At JPMorgan, Ms. Lee focused on the Healthcare, Automotive, and Consumer industries, and Financial Sponsor clients. Ms. Lee was also the Co-Head of JPMorgan’s US Debt Capital Markets Diversity, Equity and Inclusion Committee. Ms. Lee started her career at JPMorgan as an associate in the Healthcare Mergers and Advisory group in 1993. Ms. Lee received a BA in Biology and Art History from Amherst College and an MBA from the Yale School of Management. Additionally, Ms. Lee is on the Board of Women in Need and heads the audit committee.
Kim Y. Lew is CEO of Columbia Investment Management Company which manages the $11 billion endowment of Columbia University of New York. Previously, she was the CIO of Carnegie Corporation of New York, the private grant making foundation founded by Andrew Carnegie in 1911 which she joined from the Ford Foundation. Lew started her career in the middle market banking group of Chemical Bank and following business school joined Prudential Capital Group.
Lew graduated from the Wharton School of the University of Pennsylvania with a B.S in Economics and from the Harvard Graduate School of Business with an MBA. She is a CFA charterholder and has served as both a standard setter and grader.
Lew serves on the Boards of Ariel Investment Management Mutual Funds, TIFF Advisory Services, and Girls Who Invest. She serves on the investment committees of the ACLU and National Gallery of Arts.
Mr. Lippmann is the Managing Founding Partner and the Chief Investment Officer of LibreMax Capital. Prior to founding LibreMax, Mr. Lippmann was head of all non-agency RMBS, ABS and CDO trading globally at Deutsche Bank, where he led a team of 30 senior professionals in New York and London. Mr. Lippmann began his career at Deutsche Bank as a trader of non-investment grade ABS and RMBS securities. In 2003, he became Global Head of ABS and CDO trading, adding non-agency MBS to his business in late 2008. Prior to joining Deutsche Bank in 2000, Mr. Lippmann was a Director and head of ABS/MBS Subordinate and CDO trading at Credit Suisse, which he joined in 1991. Mr. Lippmann graduated from the University of Pennsylvania in 1991, magna cum laude, with a B.A. in Economics and a minor in English. Mr. Lippmann serves on the board of New 42nd Street and the South Fork Natural History Museum. He is also on the Advisory Council of the American Museum of Natural History.
Mr. Lohuis is a Managing Director, and Chairman of Global Financing at Barclays.
Based in New York, he is responsible for advising senior client relationships and overseeing resource allocation for the businesses within Prime and Structured Financing, including Fixed Income, Equity Finance and Prime Derivative Services as well as Structured Financing. Prior this role, he was the Global Head of Financing and the Resource Management Group.
Mr. Lohuis joined Barclays in 2008 from Lehman Brothers and has extensive experience in the Investment Banking Industry and Global Markets. During this tenure, he held various senior leadership roles, including Head of Fixed Income Financing, Head of Money Market Trading and Short Rates Trading.
Mr. Lohuis is a member of the Markets Management Team. He is also a member of SIFMA-Funding Executive Committee. Mr. Lohuis holds a bachelor’s degree from the University of Illinois and sits on the board of Portsmouth Abbey School.
Amelie Lonergan is the Americas Head of Prime Brokerage Sales for UBS Investment Bank. She joined UBS in 2023 from Morgan Stanley, where she spent 8 years as a Managing Director in the Americas Prime Brokerage Sales team, focusing on the origination and monetization of key hedge fund clients.
Prior to Morgan Stanley, Amelie spent 15 years at Credit Suisse, primarily in Prime Brokerage Sales and Relationship Management after starting her career in M&A at Credit Suisse First Boston in London.
Amelie is an alumnus of Centrale Supélec in Paris, where she earned a degree in engineering. She is a native Parisian, dual French/American citizen and is married with two daughters.
Dr Chris Longworth is an Investment Director and co-leads the GAM Systematic Cambridge team.
Since joining the firm in 2010, Chris’s focus has been on the development and enhancement of the team’s investment strategies. Chris has been heavily involved in the research and review of all aspects of the Core Macro programme since its inception in 2013. He is the author of the longest standing model traded within that programme. In addition, Chris has led the effort to incorporate novel or alternative data sources into the portfolio as well as the expansion of the team’s tradable universe into new and unconventional markets. Prior to joining GAM Systematic, Chris was part of the Machine Intelligence Laboratory at Cambridge University, where he obtained MPhil and PhD degrees. He also holds a BSc in Computer Science from Royal Holloway, University of London.
Mr. Magnusson is the Chief Investment Officer of Garda’s Fixed Income Relative Value Strategy. Mr. Magnusson provides strategic direction for the investment strategy of the firm.
Prior to co-founding Garda in 2016, Mr. Magnusson worked at Black River and its predecessor, Cargill Financial Markets. He began his career at Cargill in 1996 working within the Corporate Treasury Group. Mr. Magnusson then joined the Fixed Income Relative Value Portfolio Management Team in 2000. Following the formation of Black River in 2003, his Portfolio Management responsibilities continued to grow and in 2008, he became the Senior Portfolio Manager for the Fixed Income Relative Value Strategy, that continues to be the strategy managed at Garda today. He assumed CIO responsibilities for the strategy in 2022.
Mr. Magnusson graduated Summa Cum Laude from Central Michigan University with a Bachelor of Science degree in Business and German. He also holds an MBA from the Thunderbird School of Global Management and is a CFA® charterholder.
Dr. Dharmesh Maniyar founded Maniyar Capital in May, 2019. He previously was a Managing Director and a Partner at Tudor (2013-2020) focusing on discretionary macro trading. Prior to joining Tudor, Dharmesh was a portfolio manager at Brevan Howard Asset Management, LLP (2008-2013). Prior to joining Brevan Howard Asset Management, he worked as a post-doctoral research associate for a globally collaborated Managing Uncertainty in Complex Models (MUCM) project at Aston University in England (2006-2008). Prior to receiving his PhD, he was a Senior Software Engineer at the Centre for Development of Advanced Computing in India (2001-2003). Dharmesh holds both a BSc in Chemistry and Physics (1998) and a Master of Computer Applications (2001) from Bhavnagar University and a PhD in Applied Mathematics (Machine Learning) from Aston University (2006).
Edouard Matitia-Cohen is a Managing Director and Global Head of Equity Financing Distribution at Bank of America, based in New York.
In his role, he is responsible for all sales globally across Prime Financing, Equity Synthetics, Stock Loan, Capital Strategies and Business Consulting, ensuring the delivery of an integrated coverage and distribution strategy worldwide. He joined the firm in 2012 and was previously Americas Head of Equity Sales.
Prior to joining Bank of America, Matitia-Cohen was the European Head of Equity Derivatives, Convertibles and Delta One sales at Credit Suisse, based in London. He was a member of Credit Suisse’s European Equity Management Committee and Global Equity Management Committee.
Previously, Matitia-Cohen worked at Morgan Stanley for over 11 years and held various roles including the Head of U.S. Capital Structure and Special Situations business in New York, and a member of the Equity Derivatives trading team in London.
He holds a B.A. (Hons.) in economics from ICADE University in Madrid and Ecole Superieure de Commerce in Reims, France.
Matitia-Cohen serves on a variety of boards in multiple capacities across leading organization in several fields. He is a term corporate member of the Council of Foreign Relations (CFR), Executive Advisory Board member of the Hispanic Latino Advancement Org., Board member of the Managed Fund Association (MFA), and an outside advisor to the Board at the ISW, The Institute for the Study of War in Washington, D.C.
Charmel Maynard currently serves as Chief Investment Officer & Treasurer for the University of Miami. In this capacity, he leads the University’s efforts to invest over $4B in assets, including endowment and pension funds. Mr. Maynard is also responsible for the University’s ~$2B capital structure, including liquidity and debt issuances. Additionally, he manages treasury and cash management.
Mr. Maynard was previously a vice president with J.P. Morgan’s Investment Bank in New York City. During his 10-year career with J.P. Morgan, he focused on investment banking debt capital markets and leveraged finance, where he advised clients on capital structure solutions, deal structuring, and execution of syndicated revolving credit facilities, institutional term loans, and bond issuances.
Jim Messina is arguably one of the world’s most successful political advisors. The mastermind behind former-President Obama and then-Vice President Biden’s 2012 re-election campaign, Jim Messina seized the reins on what Bloomberg Businessweek dubbed “the highest-wattage crash course in executive management ever undertaken”—and succeeded, earning the President another term in the White House. With the guidance of technology’s foremost leaders, Jim abandoned every step of a traditional presidential campaign and merged technology and politics in a way that was both unpredictable and unprecedented.
Jim’s strategies established the modern presidential campaign—Google’s Executive Chairman Eric Schmidt called it “the best-run campaign ever.” The American Association of Political Consultants later crowned him the Campaign Strategist of the Year (2013).
Messina is among the most sought after legislative DC insiders, having worked in the Obama-Biden administration as Deputy Chief of Staff where he worked closely with both former-President Obama and President-elect Joe Biden on the passage of the historic Affordable Care Act, the American Recovery and Reinvestment Act , which has been credited with saving the U.S. economy, and the landmark repeal of “Don’t Ask Don’t Tell.” Jim earned the nickname “The Fixer” as he worked closely with President Obama and Vice President Biden and Congressional leaders on both sides of the aisle to pass the Affordable Care Act. For over twenty years, Jim served as Chief of Staff for various Senate and House offices on Capitol Hill where he worked to pass key legislation such as multiple tax cut bills, the Medicare prescription drug bill, and several trade agreements.
Since then he has gone on to elect over a dozen Presidents and Prime Ministers on five continents including: the UK’s Theresa May and David Cameron, Mexico’s Enrique Peña Nieto, Argentina’s Mauricio Macri, Italy’s Matteo Renzi and in 2016 helped Spain’s President Mariano Rajoy win a surprising re-election margin.
In 2013, Messina launched The Messina Group. In this role, Messina provides strategic consulting to businesses around the world. The firm has been involved in winning public policy campaigns on five continents. Clients include Uber, Airbnb, Google, Delta Air Lines, Hutchison Whampoa, and over 300 others.
Previously, Jim served as Deputy Chief of Staff in President Barack Obama’s White House, where he was integral to the passage of the historic health care bill, the economic stimulus act credited with saving the US economy, and the landmark repeal of “Don’t Ask Don’t Tell.”
Messina continues to advise and guide Democratic candidates and organizations at all levels, as well as providing insight on news outlets such as MSNBC, CNN, Fox News, Bloomberg, BBC and others.
Jim serves on the boards of Organizing for Action (OFA), Virgin HyperloopOne, Google’s Advanced Technology Panel, Vectra.ai, Pillpack, Patient Safety Movement Foundation, LanzaTech, Hyp3r, the United States Soccer Foundation, Fortera, the Montana Land Reliance, and Blockchain.com.
Ms. Molnar joined Fairfax County Retirement Systems in 2013 and currently serves as Chief Investment Officer of the Fairfax County Police Officers Retirement System (PORS), a $1.8 billion plan. Her responsibilities include all aspects of portfolio management and oversight, including strategic and tactical asset and risk allocation, selection and supervision of external investment managers and risk management. During her time at PORS, Ms. Molnar has been repeatedly nominated for CIO Innovation Awards and PORS’s performance has made it a top-ranked System. From 2001 until 2012, Ms. Molnar was Vice President, Senior Research Analyst at AIG Investments’ Hedge Fund Solutions Group – both in London and New York. At AIG Investments, Ms. Molnar was responsible for due diligence procedures and research including: sourcing new managers, monitoring current hedge funds, analyzing portfolio risk and performance, making new investment recommendations to an investment committee as well as hedge fund asset allocation recommendations for portfolio construction. She was additionally responsible for portfolio reviews and overall asset allocation recommendations for external client portfolios. Previously, she was Vice President, Market Research Analyst at Citigroup Investments’ Alternative Investment Strategies group. Prior investment management experience includes positions at Paribas Asset Management as well as Trevor Stewart Burton & Jacobsen. Additionally, Ms. Molnar spent one year in Warsaw, Poland launching the first retail mutual funds available to the Polish market as well as two years in Frankfurt, Germany as an intern with J.P. Morgan. Ms. Molnar received a B.S. in Business Administration/Finance from the University of North Carolina at Chapel Hill. She is a CFA charterholder.
Anthony is a Partner, Research Director at Fiducient Advisors and leads the firm’s Marketable Alternatives research effort as well as chairs the firm’s Capital Markets efforts. He is a member of the firm’s Investment Committee, Discretionary Committee, Research Forum and Marketable Alternatives Research Team. Prior to joining the firm in 2011, Anthony held various roles in equity research and due diligence. Anthony received a Master of Business Administration from the University of Chicago Booth School of Business with concentrations in Analytic Finance, Economics & Entrepreneurship and a Bachelor of Arts in Finance from the Eli Broad College of Business at Michigan State University. He is a CFA® charterholder and member of the CFA Society Chicago and CFA Institute. Anthony is actively involved with YearUp, a nonprofit providing young adults with the skills, experience and support to pursue professional careers and higher education. He is also on the Advisory Board for the Michigan State University Financial Markets Institute and serves as Midwest Regional Director of the Hedge Fund Association. In his free time, Anthony enjoys playing guitar, golf, spending time with his two sons and all things Michigan State Spartans.
Andrew Palmer, CFA is the Chief Investment Officer for the Maryland State Retirement and Pension System. In this role, he is responsible for the day-to-day operations of the System’s investment division and has overall responsibility for the System’s investment program.
Previously he was the Deputy Chief Investment Officer, Director of Fixed Income for the Tennessee Consolidated Retirement System. In addition to his role as Director of Fixed Income, he led the construction of a Strategic Lending Portfolio, was a member of the Private Equity and Real Estate Committees and shared in the responsibility for tactical asset allocation and new product development. He began his career at ASB Capital Management, a Bethesda, Maryland based institutional advisory firm.
Mr. Palmer is a member of the University of Maryland, Economics Leadership Council, and the ILPA, has been active in the CFA program and was President of the Washington Association of Money Managers. He received a BA and an MA in Economics from the University of Maryland.
Diego Parrilla, Principal Investment and Management Committee at 36 South Capital a USD 2 billion hedge fund focused on volatility and tail risk strategies with a 21-year track-record and headquarters in London. Diego has 25+ years of investment experience in London, New York, Singapore, and Madrid, and held senior leadership roles in commodities, global macro, and volatility at JP Morgan, Goldman Sachs, Merrill Lynch, BlueCrest Capital, Dymon Asia, Old Mutual Global Investors, and Quadriga. Diego is co-author of “The Energy World is Flat” (Wiley, 2014), and “The Anti-Bubbles” (BEP, 2017), and a selective contributor to leading financial media, including the Financial Times (two Insight Columns), Wall Street Journal, CNBC, CNN, Real Vision, Hedgeye, and MacroVoices, amongst others. Diego holds MSc Mineral Economics from the Colorado School of Mines in Golden, MSc Petroleum Economics and Management from the French Institute of Petroleum in Paris, and MSc Mining and Petroleum Engineering from the Polytechnic University of Madrid, with a thesis on “Real Options applied to Mineral Asset Valuation”.
Jake Pollack is the Global Head of JPMorgan’s Credit Financing business which includes Private Credit and Syndicated Loan financing solutions across our Secured Portfolio Financing, CLO Primary and Loan TRS businesses. He is also responsible for JPMorgan’s Direct Lending business for Global Credit Markets, in partnership with Debt Capital Markets and the Commercial Bank. Jake began his career at JPMorgan in 2004 as a credit analyst in the Commercial Bank, before joining Credit Markets as a Desk Analyst in 2005. As a key risk manager for the Credit Markets franchise, Jake’s single name credit expertise spans a wide array of industries, from Autos in the 2008 Financial Crisis, to Technology, Healthcare, and more recently, pandemic-dislocated sectors. He has a MBA from Columbia Business School and a B.A. in Economics from New York University. Jake lives with his wife and three children in New Jersey.
Alex Popov is Head of Private Credit and Head of Carlyle Credit Opportunities. Mr. Popov is a member of the Carlyle Credit Opportunities Fund Investment Committee and the Carlyle Strategic Partners Funds Investment Committees. He is based in New York.
Prior to joining Carlyle, Mr. Popov was a Managing Director at HPS Investment Partners (f/k/a Highbridge Principal Strategies) from 2008 to 2016. At HPS, he led investment activities in the United States for HPS Mezzanine Funds I & II and was a member of the Investment Committee for HPS Mezzanine Fund III and HPS’ firm-wide Credit Committee. Mr. Popov founded and led the firm’s real estate credit platform and served as a member of the Board and Investment Committee of the joint venture between HPS and The Related Companies. Before joining HPS in 2008, Mr. Popov worked at Oaktree Capital Management, focusing on credit investments across various sectors. Earlier in his career, he worked at American Capital Strategies and Donaldson, Lufkin & Jenrette.
Mr. Popov received his undergraduate degree from Cornell University and his MBA from New York University’s Stern School of Business.
Fahmi Quadir is the Founder and Chief Investment Officer of Safkhet Capital Management. The primary fund is short-only, focused on high-conviction opportunities where investigative and forensic methods are used to assess possible fraud, criminality, and consumer abuse, among other predatory activities. Fahmi regularly advocates for a deeper understanding of the market utility of short selling, including pushing for fairer short selling treatment and stronger fraud reporting protocols.
Carlos Rangel is Vice President and Chief Investment Officer for the W.K. Kellogg Foundation in Battle Creek, Michigan. In this role, he supports the foundation’s efforts to promote thriving children, working families, and equitable communities. During his more than a decade tenure at the foundation, Rangel has contributed his skill and innovative approaches to investments. Most recently, Rangel has been a co-executive sponsor for the Expanding Equity work for the Kellogg Foundation in partnership with the CEO’s office and the vice president for program strategy. Before joining the foundation, Rangel spent nine years at Managed Asset Portfolios researching public equities. From 2008 – 2010, he taught undergraduate finance classes as an adjunct instructor at Walsh College of Accountancy and Business Administration. Rangel earned his bachelor’s and master’s degrees in finance from the University of Michigan – Dearborn. He holds the following designations: Chartered Financial Analyst (CFA), Financial Risk Manager (FRM), Chartered Alternative Investment Analyst (CAIA), and Certificate in Investment Performance Management (CIPM). He is on the boards of the Ewing Marion Kauffman Foundation and Family & Children Services.
Kiran Reddy is a Senior Managing Director in the Blackstone Life Sciences group having joined in May 2020. Dr. Reddy was previously the President & CEO of Praxis Precision Medicines, which he co-founded in November 2016.
Previously, Dr. Reddy was at Biogen where he was part of the corporate development and strategy leadership team. Dr. Reddy was also an Associate Partner at Third Rock Ventures. He supported and managed various portfolio companies in addition to focusing on new company formation and new investments. He was part of the founding team and interim Chief Business Officer for SAGE Therapeutics through its IPO. Dr. Reddy was part of the team that launched Foundation Medicine, and he has served as a Board Observer for Alnara pharmaceuticals, Rhythm pharmaceuticals and PanOptica pharmaceuticals.
Dr. Reddy holds MD and MBA degrees from Georgetown University. He completed his internship in medicine and his neurology residency at Harvard/Massachusetts General Hospital. Dr. Reddy was previously a Howard Hughes science fellow and has authored several peer-reviewed scientific papers in the field of epilepsy, neuroimmunology and neurodegenerative diseases.
Bruce Richards is the chief executive officer and co-managing partner of Marathon Asset Management. Mr. Richards is responsible for general oversight of the $12.7 billion the firm manages on behalf of its institutional investors. He also leads the firm’s Executive Committee and is a member of its Investment Committee. Mr. Richards’ day-to-day presence is critical in maximizing Marathon’s synergies and leveraging the intellectual capital throughout Marathon.
Mr. Richards co-founded Marathon with Louis Hanover in January 1998. The firm focuses on the global credit markets, specifically corporate debt (both performing and distressed debt) and the structured debt markets. Marathon employs 145 professionals and maintains its headquarters in New York, with investment offices in London and Singapore.
Prior to founding Marathon, Mr. Richards worked on Wall Street for 15 years, including 10 years as a managing director in the fixed income divisions of Smith Barney and Donaldson, Lufkin & Jenrette where he was head of a trading desk responsible for principal investments and market making.
In March 2014, Mr. Richards was the recipient of Help for Children | Hedge Fund Cares’ Award for Caring for his strong commitment to philanthropy. He has also been honored by the UJA Federation of New York and HELP USA, and was the recipient of the Boomer Esiason Foundation’s Most Valuable Player Award and the R Baby Foundation’s Philanthropic Leadership Award. Mr. Richards serves on the board of The University System of Maryland (USM) Foundation.
Mr. Richards received his B.A. in Economics, summa cum laude, from Tulane University (1982) and is a member of Phi Beta Kappa.
Jackie Rosner joined the firm in 2013 and is a Managing Director and a member of the Portfolio Management team, with a specific focus on global macro, relative value, managed futures, and quantitative strategies. Prior to joining, Mr. Rosner was a Managing Director, head of global macro and systematic trading strategies, and a member of the executive committee at Union Bancaire Privee Asset Management in New York. Prior to UBP, Mr. Rosner was a proprietary trader at BNP Paribas in New York. Mr. Rosner has also been a portfolio manager at both Archeus Capital Management and Millennium Partners, and was a founding member of a proprietary trading desk in the fixed income department of Chase Manhattan Bank/J.P. Morgan. Mr. Rosner began his career at Salomon Brothers (Citibank) where he held various positions of increasing responsibility primarily focused on quant, trading, and fixed income strategies. Mr. Rosner is on the advisory board for the MIT Sloan Department of Finance, volunteers as a master’s thesis supervisor at the Department of Mathematics at NYU Courant, and has guest lectured at Columbia University’s Department of Financial Engineering. Mr. Rosner holds a B.S. in Economics, a B.S. in Management Science, and an M.Sc in Management from the Sloan School of Management at Massachusetts Institute of Technology. He also holds an M.Sc in Mathematical Finance from New York University and completed the following Charters: CFA, CAIA, CMT, and FRM.
Karl Rove, an iconic political strategist and one of the most sought-after political pundits of our time, is best known for his provocative and robust knowledge of major political issues.
Rove served as Senior Advisor to President George W. Bush from 2000–2007 and Deputy Chief of Staff from 2004–2007. At the White House, he oversaw the Offices of Strategic Initiatives, Political Affairs, Public Liaison, and Intergovernmental Affairs and was Deputy Chief of Staff for Policy, coordinating the White House policy-making process. He was the architect of President Bush’s 2008 and 2004 White House victories.
Before the White House, he ran Rove + Co. a Texas based public affairs firm that consulted on over 75 GOP campaigns for Senator, Governor, Congress and statewide offices in 24 states.
Rove was described by author and columnist Michael Barone as “…unique…no Presidential appointee has ever had such a strong influence on politics and policy, and none is likely to do so again anytime soon.” Washington Post Pulitzer Prize-winning reporter David Broder wrote that Rove was a master political strategist whose “game has always been long term…and he plays it with an intensity and attention to detail that few can match.” Conservative editor and columnist Fred Barnes, called him “the greatest political mind of his generation and probably of any generation… He knows history, understands the moods of the public and is a visionary on matters of public policy.”
Mr. Rove writes a weekly op-ed for the Wall Street Journal, appears frequently on the Fox News Channel, and is the author of the New York Times bestseller Courage and Consequence. His latest book is The Triumph of William McKinley. A Colorado native, Rove lives in Austin, Texas where he teaches at the University of Texas and serves on the Texas State History Museum and McDonald Observatory boards.
As the co-founder and managing partner of Manna Tree, Ellie is a passionate investor focused on improving human health. Manna Tree invests in growth stage businesses transforming the food supply chain for healthier outcomes. Ellie is a member of the firm’s Executive and Investment Committees. She shapes the firm’s vision strategy and investment products and develops Manna Tree’s global network. For the past 10 years, Ellie has studied the evolution of the food and beverage supply chain, as well as the increasing consumer demand for healthier alternatives.
Prior to founding Manna Tree, Ellie helped develop the impact investing thesis for a family investment office well known for ESG driven strategies. As part of new product development for the office, she helped launch the first ever arctic asset manager based in Alaska. This established her early belief in the power of impact investing to address social challenges without sacrificing returns, as well as the importance of energy and food as asset classes.
In 2022, Ellie was honored to be appointed to the Alaska Permanent Fund Board of Trustees. As part of her role of trustee, she sits on the Governance Committee which reviews the Board of Trustees Charters and Governance Policies and recommends proposed changes to the full Board for approval as necessary to ensure that the Charter remains relevant and appropriate.
In addition to her role at Manna Tree, Ellie is an active philanthropist. Through her family office, Mission: Ingredients, Ellie drives positive change in global population health. She supports ingredient research, outdoor wilderness, youth education, and military health and recovery programs.
Ellie also supports American Red Cross, having dedicated countless hours to the organization since first volunteering with the Red Cross of Alaska in 2014.
Ellie’s combination of experience with both investment and philanthropy has inspired families and institutions to make investments in human health.
Ellie earned her bachelor’s degree in sociology from Harvard University, where she was a varsity ski racer. She earned her master’s degree in agriculture economics from Purdue University and her MBA in agribusiness from Indiana University’s Kelly School of Business, where she was a Tobias Fellow.
Carsten Schmitz leads Winton’s investment management and research activities. He is a member of Winton’s executive management and investment committees.
Carsten joined Winton in 2008 as a researcher focused on the design of quantitative trading strategies. From 2012 Carsten was leading Winton’s Zurich research team, before moving back to London and being promoted to Head of Investment Strategy and subsequently Head of Research.
Carsten earned a Diploma with distinction from RWTH Aachen in Germany and a PhD with distinction from the University of Zurich. For his PhD and postdoctoral position, Carsten worked at the DESY collider facility in Hamburg, analysing data from high-energy particle collisions.
Erik Serrano Berntsen is the CEO of Stable, responsible for defining and executing the firm’s Investment Strategy. With offices in New York and London, Stable backs Founders of investment firms who appreciate that delivering extraordinary performance requires building a great organization. Stable’s track record of success is down to working with inspiring investors and business-builders across public and private markets. Prior to Stable, Erik was with Bain & Co., where he was part of the Private Equity Group (PEG). A believer in education as a tool for change, Erik supports initiatives such as the LSE Alternative Investment Conference, the largest student conference for alternatives globally, Girls Who Invest, and Girls Are Investors. Amongst other initiatives, Stable is a supporter of 100 Women in Finance and a Founding Partner of #10000blackinterns. Erik holds a Bachelor of Arts in Politics, Philosophy and Economics from Keble College, University of Oxford and a Masters of Business Administration with honours and a Concentration in Finance from the University of Chicago Booth School of Business.
Jeff Shen, PhD, Managing Director, is Co-CIO and Co-Head of Systematic Active Equity (SAE) at BlackRock. He is a member of the BlackRock Global Operating Committee, BlackRock Systematic (BSYS) Management Committee and the BlackRock Asian Middle Eastern & Allies Network (AMP) Executive Committee. Dr. Shen’s service with BlackRock dates back to 2004, including his years with Barclays Global Investors (BGI), which merged with BlackRock in 2009. At BGI, he was the Head of Investment for Asia Pacific and Emerging Market active equities. Prior to joining BGI, he began his career in 1997 with JP Morgan where he held numerous positions in global macro investment and asset allocation research in both New York and London. Dr. Shen earned a BA degree in Economics from Hobart College, a MA degree in Economics from University of Massachusetts at Amherst, and a PhD degree in Finance from New York University. Dr. Shen is an adjunct professor at NYU teaching an MBA class on international investment. He also serves on the advisory board of the Clausen Center at UC Berkeley.
Stephanie leads a team at RTW overseeing business development, strategic partnerships, communications, and investor relations.
Her background in investment banking and expertise in financial markets has helped position the firm as both a partner to life sciences companies and a steward of investors’ capital. Stephanie also manages RTW’s relationships with key partners including banks, academic institutions, corporations, investors, and NGOs. She has led the firm’s entry into the UK and European markets and serves as a director of the RTW Biotech Opportunities Ltd, a publicly traded investment fund listed on the London Stock Exchange.
Prior to joining RTW, she served as director at Valhalla Capital Advisors, a macro and commodity investment manager. Stephanie also worked in the New York and London offices of Lehman Brothers, where she advised on various Merger & Acquisitions, IPOs, and capital market financing transactions with a focus on cross-border transactions for the firm’s global corporate clients.
Stephanie graduated with honors from Columbia University and also received a Master’s Degree from the Columbia Graduate School of Journalism.
She serves as president of the RTW Charitable Foundation; and co-chair of Council of the New York Philharmonic.
Justin W. Slatky joined Shenkman Capital in 2011. He has 23 years of investing experience in high yield and distressed securities. Prior to joining Shenkman Capital, Mr. Slatky was Co-Head and Managing Director of the Distressed Bond business in New York and London for Goldman Sachs. He was also a member of the Credit Investment Committee charged with reviewing proprietary investments within the Credit Department. Before joining the distressed bond business in 2002, Mr. Slatky was a telecom high yield analyst and a recipient of Institutional Investor’s Runner-Up award. He joined Goldman Sachs from Credit Suisse First Boston in 2000, where he worked as a high yield analyst as part of an II ranked telecom team. Mr. Slatky graduated magna cum laude with a BS in Economics (1998) and an MBA (1999) from The Wharton School at the University of Pennsylvania.
Alex joined Bridgewater in 2010 and is currently a Portfolio Strategist in our Research group. In addition to conducting macroeconomic research, he communicates with Bridgewater’s clients regarding the macro outlook, Bridgewater strategies, and portfolio construction. He has expertise in portfolio construction, currencies, credit, commodity, and equity markets. Before joining Bridgewater, Alex was a consultant for Oliver Wyman Financial Services. He has an M.A. in Applied Mathematics and Statistics from Hunter College, and an A.B. in Philosophy from Princeton University.
Tracey is Chief Legal Officer and Corporate Secretary, as well a member of the Operating Committee and a Partner at Bridgewater Associates, LP. Bridgewater is a premier asset management firm, focused on delivering unique insight and partnership for the most sophisticated global institutional investors. Tracey oversees the Legal and Regulatory Department and is responsible for legal and corporate governance, managing legal risk across Bridgewater and its funds. Prior to joining Bridgewater, Tracey practiced with the international law firms, Milbank LLP, and Dewey & LeBoeuf LLP, representing banks, issuers, private equity funds and mezzanine funds in a wide range of banking and securities transactions. Tracey also represented public and private companies on corporate law and corporate governance matters.
Tracey graduated from The Johns Hopkins University with honors, received a Master of Sciences degree from the University of Pennsylvania, and graduated from University of Southern California Gould School of Law. Tracey currently serves as Chair of Make-A-Wish Connecticut’s Board of Directors and on the Board of Directors of the Managed Funds Association, the Advisory Board for the Harvard Law School Center for the Legal Profession, and as Vice Chair of The Johns Hopkins Lacrosse Board.
Mr. Weinstein is a managing director and portfolio manager in the Newport Beach office and leads corporate special situations, focusing on PIMCO’s opportunistic and alternative strategies within corporate credit. Prior to joining PIMCO in 2019, he worked for KKR as a portfolio manager for the firm’s special situations funds and portfolios, which he managed since their inception in 2009. He was also a member of the firm’s special situations, real estate, and India NBFC investment committees and the KKR credit portfolio management committee. Previously, Mr. Weinstein was a portfolio manager with responsibility across KKR’s credit strategies. Prior to joining KKR, he was with Tishman Speyer Properties as director of acquisitions for Northern California and at Boston Consulting Group as a consultant. He has 22 years of investment experience and holds an MBA from Stanford University and a bachelor’s degree in civil engineering and operations research from Princeton University.
Ashbel C. Williams is Vice Chair, J.P. Morgan Asset Management. With assets under management of $2.7 trillion, the firm is a global leader in investment management.
Prior to joining J.P. Morgan Asset Management in 2022, Williams was Executive Director and Chief Investment Officer and of the Florida State Board of Administration (SBA), with assets of over $250 billion. Previously, he was a Managing Director at Fir Tree Partners and President and CEO of Schroder Capital Management. Earlier in his career he held senior roles in the executive and legislative branches of Florida state government, including initial leadership of the SBA from 1991-96.
Williams is a trustee of the Florida State University Foundation, and the National Institute for Public Finance. He serves on the investment committees of the IEEE and the Episcopal Diocese of Florida. He also serves on the board of the Economic Club of Florida, is a Hull Fellow of the Pacific Pension and Investment Institute, a Special Advisor to the Managed Funds Association and a member of the Council on Foreign Relations.
He received BS and MBA degrees from the Florida State University (FSU) and lives in Tallahassee, FL with his wife; they have three grown daughters.
Steven Wilson is Director in the Public Markets group at the Teacher Retirement System of Texas, a $200 billion pension system serving 1.8 million active and retired educators and their families. Mr. Wilson is responsible for the $10B Stable Value Hedge Fund Portfolio, which includes allocations to Equity Market Neutral, Macro, Managed Futures, Platform, Volatility, and Reinsurance Hedge Funds. He is also responsible for the $7B World Equity Portfolio, which includes Beta Sensitive strategies benchmarked to global equity indices.
Prior to joining TRS, Mr. Wilson was an Investment Director at Ameriprise Private Wealth Advisors, where he oversaw fund selection for $250 million of client assets.
Mr. Wilson received an MBA from the Rice University Jones School of Business in 2012, is a graduate of the University of Texas at Austin McCombs School of Business, and holds the CAIA designation.
David Zervos is currently Chief Market Strategist for Jefferies LLC and Head of the Global Macro Division of Leucadia Asset Management, LLC (“LAM”). David joined Jefferies in 2010 after spending 2009 as a visiting advisor at the Board of Governors of the Federal Reserve System in Washington, D.C. Prior to visiting the Federal Reserve, he held a variety of research, sales and trading positions in the private sector, most recently managing global macro portfolios for Brevan Howard and UBS O’Connor. He began his career as an economist at the Federal Reserve Board in the early 1990’s. He received a B.Sc. from Washington University, and an M.A. and Ph.D. in economics from the University of Rochester.