Editorial and Insights Director, Research in Finance
Mark has more than 12 years of experience in market intelligence, data analysis, and publishing, primarily focussed on research into sales and product development trends in the asset management industry. He has a strong understanding of cross-border mutual fund distribution dynamics, particularly in Europe. Prior to joining Research in Finance, he was a global insights director at Broadridge. He holds a BA in French and German and MSc in China and Globalisation, both from King’s College London, and a graduate diploma in economics from Birkbeck, University of London.