Mark E. Fischer
Lead Counterparty Credit Risk Analyst at USAA
- Role
- Lead Counterparty Credit Risk Analyst, Enterprise Treasury at USAA
- Location
- Philadelphia, PA, US
- LinkedIn followers
- 500 followers
About Mark E. Fischer
Financial analyst and portfolio manager with a consistently strong stock-selection track record in the industrial, energy and basic materials sectors. Both sell-side and buy-side (long-only and long/short). Top achievements: • Investing: ”Top Five” returned compounded annual +24% vs.+8% for oil & gas exploration & production (E&P) sector over 5.5 years (published bi-weekly at Credit Suisse and Bank of America). Sole-managed long/short market-neutral portfolio generated +530 bps annual average alpha over 5.25 years (#1 alpha-generator at DuPont Capital). • Franchise-building: As sell-side analyst,#1-8 in rankings by Greenwich Associates, Institutional Investor, Reuters, Starmine and The Wall Street Journal. Maintained rankings despite move to platform new to energy research. • Academic: Harvard honors graduate and Columbia Business School co-valedictorian, who turned down Harvard Business School to attend Columbia on a full-tuition merit fellowship.
Experience
Lead Counterparty Credit Risk Analyst, Enterprise Treasury
Dec 2021 — Present · Philadelphia, PA, US
Monitor counterparty credit exposure for $37 billion financial services company. Analyze evolving financial strength of bank counterparties. Promoted from Senior Analyst in August 2023.
Education
Harvard University
Bachelor of Arts - BA
Columbia Business School
Master of Business Administration - MBA
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