Origination of quality assets/buy side credit risk evaluation. Outstanding assessor of risk and opportunity. Acute understanding of all the interconnections in the financial/credit markets as well as the macroeconomic environment’s affect on these investments, and broad expertise in the investment markets - commodities, energy, sovereign risk - as well as fundamental credit risk assessment. Exceptional track record through economic cycles with no asset losses in the recommended investments.
Alternative/renewable energy and natural resources; investment management; monetary/financial history; developmental economics - Asia/Latin America; sales management of products/services with potential to raise living standars in the developing world; commodities markets; wealth preservation strategies.