Muhammad Bilal Gazi

Principal @Apollo Global Management, Inc.

Yorba Linda, CA, US
EMAILS
m••••@apollo.com
MOBILE NUMBERS
+17•••••••66

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WORK HISTORY

Mar 2022 — Present

Principal @Apollo Global Management, Inc.

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US

Advanced Apollo’s credit platform through client education and industry keynotes that demonstrated private credit’s strategic role in client portfolios, strengthening client engagement and driving revenue growth. Drove private credit product placements and strategic positioning across RIAs, independent broker-dealers, family offices and private banks to drive capital formation and platform adoption. Partnered with the Digital Assets team to position private credit for on-chain users; established tokenization access points, defined strategy and coordinated cross-functional execution. Simplified onboarding, servicing and due diligence to accelerate partner activation and capital deployment. Provided subject-matter expertise on interval funds, non-traded BDCs and OpCo structures to ensure clear positioning, compliant design and scalable distribution. Collaborated with Portfolio Management, Compliance and Accounting to develop investor-facing materials to support client positioning, focusing on markets, key investment objectives, performance and risk parameters.

EDUCATION

2002 — 2005

University of Toronto, Rotman Business School

Bachelor's Degree, Accounting and Finance

N/A

Chartered Financial Analyst

Accounting and Finance

SKILLS

Capital MarketsFinancial MarketsTradingPortfolio ManagementCredit DerivativesDerivativesFinancial AnalysisValuationBondsFixed IncomeFinancial RiskAsset ManagementFinanceInvestment ManagementStrategyAsset AllocationMutual FundsRisk ManagementInvestmentsHedge FundsInvestment StrategiesAlternative InvestmentsBusiness Development, Portfolio Management, Distressed Credit Funds, Market ReseBloombergTactical Asset Allocation

ABOUT MUHAMMAD BILAL GAZI

Experienced investment professional focused on alternative credit and fixed income portfolio management. Skilled in portfolio strategy, marketing and asset allocations for institutions, family offices and high net worth individuals across liquid and private credit, hedge funds and traditional fixed income products.

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