Profiel
Rollo Wigan worked as a Managing Director at MKP Capital Management LLC from 2010 to 2010 and as a Managing Principal at Segovia Loan Advisors (UK) LLP from 2011 to 2015.
He received an undergraduate degree from the University of the West of England in 2001.
Eerdere bekende functies van Rollo Wigan
| Bedrijven | Functie | Einde |
|---|---|---|
Segovia Loan Advisors (UK) LLP
Segovia Loan Advisors (UK) LLP Investment ManagersFinance SLA UK manages various strategies across the capital structure, such as syndicated leveraged loans, high yield bonds, privately negotiated senior secured debt, mezzanine investments, asset-based leasing, and private equity. The firm seeks to provide creative capital solutions and generate attractive risk-adjusted returns for clients. | Verkoop & Marketing | 04-07-2015 |
MKP Capital Management LLC
MKP Capital Management LLC Investment ManagersFinance MKP invests in different strategies across global markets, including US and global rates, emerging markets, foreign exchange, structured, corporate or other credit, equities, and commodities through two main strategies: global macro and fixed-income relative value. Each of the main investment strategies shares the objective of producing high risk-adjusted returns over the long-term in a risk-controlled manner. The Global Macro strategy uses a top-down fundamental approach to identify and exploit imbalances in global economies and asset classes. The Fixed-Income Relative Value strategy primarily uses a relative value approach to exploit pricing asymmetries across global fixed-income and associated derivatives markets. | Corporate Officer/Principal | 30-09-2010 |
Opleiding van Rollo Wigan
Ervaring
Beklede functies
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Inactief
Beursgenoteerde bedrijven
Bedrijven in privébezit
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Eerstegraads connecties
Bedrijven verbonden in de eerste graad
Man
Vrouw
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Uitvoerend
Verwante bedrijven
| Bedrijven in privébezit | 3 |
|---|---|
MKP Capital Management LLC
MKP Capital Management LLC Investment ManagersFinance MKP invests in different strategies across global markets, including US and global rates, emerging markets, foreign exchange, structured, corporate or other credit, equities, and commodities through two main strategies: global macro and fixed-income relative value. Each of the main investment strategies shares the objective of producing high risk-adjusted returns over the long-term in a risk-controlled manner. The Global Macro strategy uses a top-down fundamental approach to identify and exploit imbalances in global economies and asset classes. The Fixed-Income Relative Value strategy primarily uses a relative value approach to exploit pricing asymmetries across global fixed-income and associated derivatives markets. | Finance |
University of the West of England
University of the West of England Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Segovia Loan Advisors (UK) LLP
Segovia Loan Advisors (UK) LLP Investment ManagersFinance SLA UK manages various strategies across the capital structure, such as syndicated leveraged loans, high yield bonds, privately negotiated senior secured debt, mezzanine investments, asset-based leasing, and private equity. The firm seeks to provide creative capital solutions and generate attractive risk-adjusted returns for clients. | Finance |
















