Peter Mark Faulkner

Peter Mark Faulkner

Portfolio Manager-Fixed Income presso P. Schoenfeld Asset Management LP

Finance
Consumer Services

Profilo

Mr. Peter M.
Faulkner is a Managing Partner, Deputy Chief Investment Officer & Co-Portfolio Manager of Credit at P.
Schoenfeld Asset Management LP.
He joined PSAM in 2002 and has been investing in the distressed securities and special situations arena since 1983.
Prior to joining the firm, Mr. Faulkner worked for M.J.
Whitman from 1994 to 2001 where he was a Senior Managing Director and Portfolio Manager.
From 1992 to 1994, he was the Head of Distressed Debt Trading at Alex Brown & Sons.
He began his career at Herzog, Heine Geduld/ Mutual Shares in1983.
He is a graduate of Georgetown University’s School of Foreign Service and International Finance and Commerce.

Posizioni attive di Peter Mark Faulkner

SocietàPosizioneInizio
Portfolio Manager-Fixed Income 01/01/2002
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Precedenti posizioni note di Peter Mark Faulkner

SocietàPosizioneFine
Corporate Officer/Principal 31/12/2001
Alex. Brown & Sons, Inc. Corporate Officer/Principal 01/01/1993
Corporate Officer/Principal -
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Formazione di Peter Mark Faulkner

Georgetown University Undergraduate Degree

Esperienze
Posizioni ricoperte

Attive

Inattive

Società quotate in Borsa

Aziende private

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Relazioni

60

Relazioni di 1° grado

5

Aziende connesse in 1º grado

Uomo

Donna

Amministratori

Dirigenti

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Società collegate

Aziende private4

Finance

Finance

Alex. Brown & Sons, Inc.

Finance

Finance

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