Principal, Portfolio Manager Investment Committee, Investment Team
Jon Jachman is a Principal and Portfolio Manager focused on North American credit. He is also Co-Portfolio Manager of certain of Taconic’s Commercial Real Estate Dislocation Funds and Portfolio Manager of Taconic’s Market Dislocation Funds. He serves on Taconic’s Investment and Portfolio Risk Management committees. Mr. Jachman joined Taconic in 2001 as an Associate focusing on research and began concentrating on credit investing in 2002. In 2004, he became a Principal. Prior to joining Taconic, Mr. Jachman worked at Morgan Stanley in the mergers, acquisitions and restructuring department. Mr. Jachman received a B.S. in Economics, summa cum laude, from the Wharton School at the University of Pennsylvania.
- Investment Committee
- Portfolio Risk