Gary Malacane

Manager - Portfolio Valuation And Pricing at Freddie Mac

Gary Malacane, CFA, has extensive experience in portfolio valuation, pricing, and risk management, primarily at Freddie Mac, where employment began in 1995. Currently serving as Manager of Portfolio Valuation and Pricing, Gary oversees pricing for derivatives, debt, and CMO portfolios. Previous roles at Freddie Mac include managing counterparty credit risk and interest rate risk reporting. Prior to Freddie Mac, Gary held the position of Director at Feldman Financial Advisors, focusing on financial analysis for mergers and acquisitions of financial institutions, and worked as a Financial Analyst at Ameribanc, preparing financial reports for various stakeholders. Gary holds a Bachelor of Science in Finance from the University of Dayton and a CFA designation from the Chartered Financial Analyst Institute.

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Timeline

  • Manager - Portfolio Valuation And Pricing

    October, 2015 - present

  • Manager, Portfolio Performance And Analytics

    August, 1999

  • Manager - Counterparty Credit

    1995