Mark joined BNP Paribas Asset Management in November 2022. Prior to joining BNP Paribas Asset Management, Mark was senior fund manager at Jupiter Asset Management, with responsibility for identifying and implementing key investment themes across a range of flexible and multi-asset strategies. Before, he held buy-side strategist roles at JP Morgan Asset Management and PIMCO, and sell-side strategist roles at Credit Suisse and ING. He began his career in 2004 as an economist at Lombard Street Research.
Mark holds a BSc in Business Economics from the University of Surrey. Mark is based in London.
Investments in the aforementioned fund are subject to market fluctuation and risks inherent in investing in securities. The value of investments and the revenue they generate can increase or decrease and it is possible that investors will not recover their initial investment. Source: BNP Paribas Asset Management.
UCITS OFFER NO GUARANTEED RETURNS AND PAST PERFORMANCES DO NOT GUARANTEE FUTURE ONES