Profil
Mr. Phillip H.
Falk, CFA, is a Senior Investment Analyst at Gapstow Capital Partners LP.
He is is responsible for investment research and due diligence of corporate credit and structured credit investments, and serves as co-portfolio manager of the firm's CLO investment program.
Prior to joining Gapstow in 2011,he was an Analyst at Morgan Stanley in its Firm Strategy & Execution Group, where he advised the company on acquisitions, divestitures, and internal strategy projects.
Mr. Falk received a B.A. from Yale University in Philosophy & Economics, holds the CFA designation.
Anciens postes connus de Phillip H. Falk
| Sociétés | Poste | Fin |
|---|---|---|
Gapstow Capital Partners LP
Gapstow Capital Partners LP Investment ManagersFinance Gapstow has an exclusive focus on the alternative credit asset class. The firm uses multiple methods to identify investment vehicles and securities appropriate for their portfolio. The primary method of sourcing investment opportunities is through Gapstow’s professional and personal relationships with investors, consultants, investment bankers, service providers, and other industry contacts. Gapstow uses various quantitative and qualitative methods for evaluating the risk and potential return of each portfolio investment. | Analyst-Fixed Income | 01/03/2020 |
Formation de Phillip H. Falk
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| Entreprise privées | 2 |
|---|---|
Yale University
Yale University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Gapstow Capital Partners LP
Gapstow Capital Partners LP Investment ManagersFinance Gapstow has an exclusive focus on the alternative credit asset class. The firm uses multiple methods to identify investment vehicles and securities appropriate for their portfolio. The primary method of sourcing investment opportunities is through Gapstow’s professional and personal relationships with investors, consultants, investment bankers, service providers, and other industry contacts. Gapstow uses various quantitative and qualitative methods for evaluating the risk and potential return of each portfolio investment. | Finance |
















