He is a member of the Investment Committee. Marc has extensive experience in alternative portfolio management, risk management, operations, and compliance. Prior to joining Alpha Leonis Partners, he served as an Investment Director at Rising Tide GmbH and led the research effort on listed capital market and alternative strategies. From 2003 to 2014, Marc was at Santander, where he held various roles of increasing responsibility in research and portfolio management within the bank’s alternative investment division in Geneva, London and New York. In his last role, he was the Head of Alternative Investments Research of the New York office and Co-Portfolio Manager of all fund of hedge funds mandates.
Marc completed postgraduate courses and certifications in data analytics, corporate finance and sustainable finance at the Georgia Institute of Technology, Columbia University and the University of Zürich, respectively. He holds a Bachelor’s degree in Economics (cum laude) and an MBA from the Goddard School of Business and Economics from Weber State University, Utah (USA).