Profil
Mr. Mark Smith-Lyons is Chief Operating Officer at Hermes BPK Ltd.
Prior to joining Hermes BPK in August 2008, he spent two years, from May 2006 to August 2008, working for Crosby Forsyth (formerly Forsyth Partners Ltd), a Hong Kong based Merchant Banking and Wealth Management group, as Deputy COO & Head of Change Management based in the London office.
Between 2001 and 2006, Mr. Smith-Lyons worked for Invesco in various roles both in Dublin and London, from Change Management to Head of Operational Relationship Management for Invesco Perpetual.
He began his career in the Royal Navy.
Mr. Smith-Lyons has a B.A. in History from University College Cork.
Anciens postes connus de Mark Smith-Lyons
| Sociétés | Poste | Fin |
|---|---|---|
Hermes BPK Ltd.
Hermes BPK Ltd. Investment ManagersFinance HBPKK is an active manager which aims to achieve long-term absolute returns by understanding the drivers of risk of underlying strategies and managing them through a rigorous portfolio construction and management process. The firm seeks build consistent and stable returns within defined volatility boundaries by constructing reasonably concentrated portfolios. They take a long-term approach to portfolio construction, dynamically adjusting exposures when they witness fundamental changes in the macro environment or in the performance or process of underlying managers, engaging with them to improve governance standards and the quality of information/transparency. HBPK focuses on qualitative and quantitative interpretations of fat tail risk drivers. They have a natural cynicism towards leverage and conduct thorough operational due diligence to understand the operational risks within a hedge fund, seeking to understand distressed and event-driven funds where they believe there is a clear premium for investing in transaction-based strategies. | Directeur des opérations | - |
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Hermes BPK Ltd.
Hermes BPK Ltd. Investment ManagersFinance HBPKK is an active manager which aims to achieve long-term absolute returns by understanding the drivers of risk of underlying strategies and managing them through a rigorous portfolio construction and management process. The firm seeks build consistent and stable returns within defined volatility boundaries by constructing reasonably concentrated portfolios. They take a long-term approach to portfolio construction, dynamically adjusting exposures when they witness fundamental changes in the macro environment or in the performance or process of underlying managers, engaging with them to improve governance standards and the quality of information/transparency. HBPK focuses on qualitative and quantitative interpretations of fat tail risk drivers. They have a natural cynicism towards leverage and conduct thorough operational due diligence to understand the operational risks within a hedge fund, seeking to understand distressed and event-driven funds where they believe there is a clear premium for investing in transaction-based strategies. | Finance |
















