Profil
Mr. Peter E.
Hansell is a Head of Real Estate Debt at Cairn Capital Ltd. He is responsible for the real estate debt strategy and is a member of the Executive Management Committee.
Mr. Hansell joined Cairn Capital in 2008 to continue the development of its real estate advisory business before moving to the asset management team.
Mr. Hansell was formerly a Managing Director at Lehman Brothers within the European Real Estate team with responsibility for credit, structuring and distribution of real estate secured debt products.
He has been involved with commercial property throughout his career, other roles including running Standard & Poor’s European CMBS rating team, originating commercial mortgage loans for the Royal Bank of Scotland and training and practising as a valuer with Weatherall Green and Smith.
Anciens postes connus de Peter Edward Joseph Hansell
| Sociétés | Poste | Fin |
|---|---|---|
Polus Capital Management Ltd.
Polus Capital Management Ltd. Investment ManagersFinance Polus is an active manager which specializes in alternative credit strategies. The firm seeks to generate long-term, sustainable value for their investors and invests responsibly to make the best investment decisions and ultimately, reduce risk. They invest in a flexible manner across the capital structure and liquidity spectrum using a relative value framework grounded in intensive fundamental credit analysis with a strong emphasis on capital preservation. Their unconstrained investment philosophy combined with robust risk management has enabled them to navigate multiple market cycles as long-term stewards of capital. | Head-Fixed Income Invts | 01/01/2021 |
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| Entreprise privées | 1 |
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Polus Capital Management Ltd.
Polus Capital Management Ltd. Investment ManagersFinance Polus is an active manager which specializes in alternative credit strategies. The firm seeks to generate long-term, sustainable value for their investors and invests responsibly to make the best investment decisions and ultimately, reduce risk. They invest in a flexible manner across the capital structure and liquidity spectrum using a relative value framework grounded in intensive fundamental credit analysis with a strong emphasis on capital preservation. Their unconstrained investment philosophy combined with robust risk management has enabled them to navigate multiple market cycles as long-term stewards of capital. | Finance |
















