Principal Investment Team
Marc Schwartz is a Principal focused on North American credit, distressed investments, and litigation finance. He is also Assistant Portfolio Manager of Taconic’s Market Dislocation Fund III and serves on the Portfolio Risk Management committee. Mr. Schwartz joined Taconic in 2008 as an Associate focusing on research. In 2009 he became a Director, and in 2013 he became a Principal. Prior to joining Taconic, Mr. Schwartz worked at Morgan Stanley and also spent over three years at Kramer Levin Naftalis & Frankel LLP as a bankruptcy associate. Mr. Schwartz received a B.A. in International Relations, cum laude, from the University of Pennsylvania and a J.D. from the Fordham University School of Law.
- Portfolio Risk