Mark Crawford

Mark Crawford is a Partner at Kennedy Lewis Investment Management LLC with extensive experience in analyzing and executing special situation and event-driven investments in various industries including power, energy, metals and mining, chemicals, packaging, autos, and auto part suppliers. Prior to their current role, Mark held positions at CarVal Investors, GSC Group, The Carlyle Group, and Credit Suisse First Boston, where Mark gained valuable experience in distressed investments, high yield bonds, and investment banking. Mark holds an MBA from The Wharton School, an MS in Information and Telecommunication Systems from The Johns Hopkins University, and a BS in Economics from the United States Naval Academy.

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New York, United States

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Kennedy Lewis Investment Management

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Kennedy Lewis manages an opportunistic credit strategy that was formed to target idiosyncratic investments. Given the manager’s proprietary sourcing and closed-end fund structure, its investment strategy is agnostic to the market, geography and security type. The manager can be patient and nimble in its capital deployment. The manager’s investment approach is to construct a portfolio of “best ideas” that are expected to produce a minimum 1.5x MOIC over the life of each investment, while acutely focusing on capital preservation. This is achieved through portfolio diversity, security selection, structure and seniority.


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