Mark G. Alexandridis brings over 30 years of structured credit, credit trading, and derivatives experience to FPCM.
Mr. Alexandridis is the Chief Investment Officer of FPCM. As CIO, he chairs the Investment Committee and is a member of the firm’s Management Committee.
Prior to joining FPCM, Mr. Alexandridis worked for three years as a Managing Director at BNP Paribas, where he was responsible for managing the firm’s Flow, Structured, and Proprietary Credit Trading businesses and was a member of the Fixed Income Management Committee in the Americas.
Mr. Alexandridis was a Managing Director at General Re Financial Products (GRFP) in charge of building and managing the Structured Credit Trading business before joining BNP. Mr. Alexandridis built a credit correlation capability that enabled GRFP to be among the first providers of the strategies in the marketplace.
Prior to joining GRFP, Mr. Alexandridis was a Managing Director at J.P. Morgan where he held a variety of senior derivative trading positions involving trading and risk managing new derivative product (index, hybrid, & credit derivatives) or adapting existing derivative technology to new markets (emerging market swaps and foreign exchange options).
Mr. Alexandridis earned a Bachelor of Science and an M.S. from Massachusetts Institute of Technology in Civil Engineering, as well as an M.S. from Carnegie Mellon University in Operations Research.