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Mark Shohet

Portfolio Manager at RBC BlueBay Asset Management

Mark Shohet, CFA, is a Portfolio Manager at RBC BlueBay Asset Management, focusing on investing in US and Euro CLO tranches. Prior to this role, Mark was a Vice President at Oxford Funds, specializing in Collateralized Loan Obligations. With a background in structured finance transactions at EY, Mark holds a Master of Business Administration from Columbia Business School and a Bachelor of Science in Finance & Accounting from the University of Maryland - Robert H. Smith School of Business.

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