With more than two decades of financial sector expertise, Mark Wiltshire is highly experienced in the origination and risk analysis of alternative assets, special situations transactions and complex capital market products.
During his buy and sell side career, he has focused primarily on fixed income and credit instruments, including high yield, distressed and emerging markets debt, as well as LDC real estate lending. Post-crisis, Mark spent several years performing restructuring work, including litigation advisory services, on Lehman Brothers and other individual credit and company workout transactions. In this capacity, Mark was instrumental in securing material recoveries for creditors.
Mark has held a variety of trading and investment positions in the course of his career, having worked at BNP Paribas, Commerzbank, Société Générale, Latemar Capital, Florin Investment Management/Florin Capital and Tremont Capital Management.Mark holds the Chartered Financial Analyst, Chartered Alternative Investment Analyst and Financial Risk Manager designations.