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Management Team
 
Credit Portfolio Management
Hans L. Christensen
Martin F. Davey
Michael Regan
Kenneth G. Ostmann
Atha Baugh
John Calaba
Simon Yuan
Credit Research
Frederick H. Taylor
Structured Finance
Thomas Vannatta
David F. Harrington
Structured Credit
Harold S. Holappa, II
Paul Frederick Bird
Trading
Lewis I. Brown, CFA
Compliance
Thomas P. Finn
Operations
Pierre Batrouni
Elizabeth A. Burnett
Kentay Miller
   
 
 
Hans L. Christensen
CEO
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39 Years Experience

Prior to joining MJX, Hans Christensen was Chief Investment Officer for Barclays U.S. Collateralized Debt Obligation ("CDO") asset management business. He joined Barclays in July 2001 to launch its U.S. CDO asset management business

Prior to joining Barclays, he was a Senior Portfolio Manager at Citibank since it formed the portfolio management team in 1993. Mr. Christensen was the Senior Portfolio Manager for the Alternative Investment Strategies unit of Citigroup ("AIS") where, since 1997, he was responsible for managing external leveraged loan and high-yield portfolios, which included loan funds, a structured hybrid vehicle, a market value CDO, and a cash flow CDO with total invested assets of over $2.5Bn

Previously, he was responsible for recruiting and developing Citibank's centralized credit portfolio research staff in their preparation of issuer, industry and portfolio analysis, and recommending strategies for improving risk-adjusted portfolio performance for Citibank's credit risk portfolio. For six years, he was responsible for a corporate finance unit that developed, negotiated and syndicated numerous leveraged transactions and provided corporate finance advisory for large corporate clients

Mr. Christensen received his BS in Finance from Indiana University and his MBA in Finance from DePaul University
 
     
 
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