Mark is the Portfolio Manager of the Balanced, Conservative, and Moderate Funds with a focus on asset allocation and top down (macro) investing.
Prior to joining Milford in November 2014, Mark spent 11 years with Morgan Stanley in London and Hong Kong as an Equity Derivatives Trader. In Hong Kong he had responsibility for the Asia ex-Japan index derivatives business, running multiple regional derivative portfolios. Prior to that, in London he ran a global equity derivatives portfolio in addition to a UK equity derivatives portfolio. Mark has a Masters of Engineering degree from the University of Bath, UK.