Profil
Mr. Jonathan N.
Brown is a Partner at HBK Europe Management LLP.
He has been associated with HBK since 1997 and was appointed Chief Executive Officer of HBK Europe Management LLP in 2020.
He is responsible for all non-investment related areas of its business, and previously served as a senior member of HBK’s European equity team focusing on merger arbitrage and equity special situations.
He received a Bachelor’s degree in Law with French from the University of Sussex in 1996 and completed his Legal Practice Course at Guildford College of Law in 1997.
Postes actifs de Jonathan Neill Brown
| Sociétés | Poste | Début |
|---|---|---|
HBK Europe Management LLP
HBK Europe Management LLP Investment ManagersFinance HBK Europe may invest through both long and short positions in an unlimited range of securities, derivatives and other financial instruments throughout the world, including, without limitation, equity and equity-related securities, bonds and other fixed income securities, loans and loan participations, MBS/ABS, currencies, commodities, futures, forward contracts, warrants, options, swaps and other derivative instruments. The firm is not subject to any specific restrictions on asset type, industry, geographic market, concentration, and leverage, exposure to market risk or other portfolio characteristics. | Directeur Général | 01/01/2020 |
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Entreprise privées
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
HBK Europe Management LLP
HBK Europe Management LLP Investment ManagersFinance HBK Europe may invest through both long and short positions in an unlimited range of securities, derivatives and other financial instruments throughout the world, including, without limitation, equity and equity-related securities, bonds and other fixed income securities, loans and loan participations, MBS/ABS, currencies, commodities, futures, forward contracts, warrants, options, swaps and other derivative instruments. The firm is not subject to any specific restrictions on asset type, industry, geographic market, concentration, and leverage, exposure to market risk or other portfolio characteristics. | Finance |
















