Macro Risks: Insights Live on Finding Relative Value with Wayne Dahl, Madelaine Jones, and David Rosenberg 00:10:00

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Wayne Dahl serves as the Investment Risk Officer at Oaktree Capital Management, where he plays a pivotal role in overseeing risk management strategies across the firm’s investment portfolios. With a background in financial risk analysis and a keen understanding of market dynamics, Wayne ensures that Oaktree’s investment decisions are aligned with its risk tolerance and strategic objectives. His expertise in identifying and mitigating risks helps Oaktree navigate volatile market conditions effectively, safeguarding investor capital and optimizing portfolio performance. Madelaine Jones is a seasoned Portfolio Manager specializing in European high yield bonds and European senior loans at Oaktree Capital Management. Her deep expertise in European credit markets allows her to identify opportunities and manage risk prudently, contributing to Oaktree’s investment success. Madelaine’s strategic insights and analytical rigor enable her to navigate the complexities of the European financial landscape, delivering value for Oaktree’s clients amidst changing economic environments. David Rosenberg is the Head of Global Credit and U.S. High Yield Bonds at Oaktree Capital Management, where he oversees strategies focused on global credit markets. With extensive experience in credit analysis and portfolio management, David is instrumental in identifying relative value opportunities across different asset classes. His proactive approach to market research and risk assessment ensures that Oaktree remains agile in responding to macroeconomic and geopolitical risks, optimizing investment outcomes for clients.

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