Principal, Portfolio Manager Investment Committee, Investment Team
Keith Magliana is a Principal and Portfolio Manager of Taconic’s European Credit Dislocation Funds. He has previously served as Portfolio Manager for certain of Taconic’s co-investment funds. Mr. Magliana is a member of the Investment and Portfolio Risk Management committees. He joined Taconic’s London office in 2011 as Head of European Credit, and became a Principal in 2013. Prior to joining Taconic, Mr. Magliana worked at King Street, Deutsche Bank, and UBS. Mr. Magliana received a B.A. in Philosophy, cum laude, from Middlebury College and an M.B.A. from Columbia Business School.
- Investment Committee
- Portfolio Risk