Mark S. Warner

Mark S. Warner

Analyst-Fixed Income chez BlackRock Financial Management, Inc.

62 ans
Finance
Consumer Services

Profil

Mr. Mark S.
Warner
is a Managing Director of Risk & Quantitative Analysis at BlackRock Financial Management, Inc. In July 2014, he became responsible for global risk management of commercial real estate exposures across both public fixed income and private equity real estate businesses.
He spent 21 years in the fixed-income division running the CMBS trading desk and managing client portfolios of securitized assets, primarily CMBS, ABS and MBS.
Prior to BlackRock, Mr. Warner was at Prudential Insurance from1987 to 1993 and held positions in fixed income portfolio management and the commercial real estate debt division.
He is a former executive vice president and member of the Board of Governors of the Commercial Real Estate Finance Council an industry trade association that promotes best practices, data and reporting standards and dialog among real estate lenders, rating agencies and investors.
He earned a BA degree in political science from Columbia University and an MBA degree in finance and marketing from Columbia University School of Business.

Postes actifs de Mark S. Warner

SociétésPosteDébut
Analyst-Fixed Income 21/10/1994
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Anciens postes connus de Mark S. Warner

SociétésPosteFin
Corporate Officer/Principal -
ANTHRACITE CAPITAL INC. Corporate Officer/Principal -
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Formation de Mark S. Warner

The Trustees of Columbia University in The City of New York Undergraduate Degree

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