Profil
Mr. Mark B. Konda is a Partner & Chief Financial Officer at Bennelong Asset Management LLP.
Mr. Konda spent sixteen years at Macquarie Bank Limited (1986-2002), latterly as an Executive Director, prior to co-founding Bennelong Asset Management.
At Macquarie, he spent five years in financial control for the equity derivatives business and currency options trading desk, and then joined the equity derivatives business working on the equity finance and equity structured products desks before being appointed Global Head of Equity Finance.
From 2002 to 2004, he managed the establishment of an equity derivative trading business at Standard Bank London Limited.
Mr. Konda holds a Bachelor of Business from the University of Technology, Sydney.
Ehemalige bekannte Positionen von Mark Konda
| Unternehmen | Position | Ende |
|---|---|---|
Bennelong Asset Management LLP
Bennelong Asset Management LLP Investment ManagersFinance BAML seeks to generate absolute returns while focusing on capital preservation through investment and trading in listed and unlisted equity and derivatives markets in the Asia Pacific region, including Australia and Japan. The firm’s Asia Pacific multi-strategy fund has 3 complimentary equity and equity derivative based sub-strategies: share class arbitrage; special situations and long volatility trading. The Bennelong Tempest Fund seeks protection against market stress and tail-risk events. The strategy is designed to be negatively correlated to underlying asset classes, predominantly using long options globally across equities, currencies, commodities, fixed income and credit. The Bennelong Dragon Trading Fund is a long/short equity fund with an Australasia focus and long volatility overlay adding convexity to the portfolio. | Gründer | 20.11.2019 |
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| Private Unternehmen | 1 |
|---|---|
Bennelong Asset Management LLP
Bennelong Asset Management LLP Investment ManagersFinance BAML seeks to generate absolute returns while focusing on capital preservation through investment and trading in listed and unlisted equity and derivatives markets in the Asia Pacific region, including Australia and Japan. The firm’s Asia Pacific multi-strategy fund has 3 complimentary equity and equity derivative based sub-strategies: share class arbitrage; special situations and long volatility trading. The Bennelong Tempest Fund seeks protection against market stress and tail-risk events. The strategy is designed to be negatively correlated to underlying asset classes, predominantly using long options globally across equities, currencies, commodities, fixed income and credit. The Bennelong Dragon Trading Fund is a long/short equity fund with an Australasia focus and long volatility overlay adding convexity to the portfolio. | Finance |
















