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Mark Guthner

Mark W. Guthner is a veteran of the financial services industry. His skills and experience stretch across areas including portfolio trading and risk management, securities analysis and evaluation, investment banking and engineering also.

Mark served as a Principal, Portfolio Manager, Proprietary Trader and Equity Derivative Strategist in Banc of America Securities, CRT Capital Group LLC and Dash Financial LLC. Mark advised institutional investors to hedge or eliminate risks from institutional portfolios and to express market views. In excess of 35 percent per year, Mark generated returns on capital in his trading activites.

Mark has substantial international "in country" experience. He held senior investment banking and risk management ranks at also the New Zealand Investment Banking Group, and Standard Chartered Bank. In these roles, he handled $3.5 billion endeavor fund loan portfolio, and also developed the groups competitive and asset writing strategies. Furthermore, he served as a Senior Consultant with KPMG/Barents LLC in which he built the investment operations and trained the staff of the oldest and largest insurance company of Indonesia.

He started his career in Prudential Fixed Income Advisors and also Hong Kong Shanghai Banking Corporation where he was a Senior Portfolio Manager and Bond Trader. In such roles, he traded over $ 5 billion to pension, Taft-Hartley and monetary institutions and managed.

In addition to his everyday customer connections, Mark shares his perspectives through public speaking engagements and societal networking areas like Twitter (@MGuthner) and StockTwits (mguthner). He has spoken at conferences. These audiences varying from trade classes about fiscal matters recoveries, loan structuring, and that effect investments in bankruptcy, to banking regulators regarding ri

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