Mark Rzepczynski
Mark S. Rzepczynski, Ph.D. is the portfolio manager for the ETF Global Tactical Asset Allocation Long/Short strategy.
From 1998 to 2007, Mark was president and chief investment officer for John W. Henry & Co., a leading commodity trading advisor. From 1995 to 1998, he served as the research director and head of taxable credit for Fidelity Management and Research. Prior to joining Fidelity, Mark worked as the research director for CSI Asset Management, a capital markets strategist for First Chicago and a quantitative fixed income analyst at Merrill Lynch.
Along with being an economist at the Chicago Mercantile Exchange, Mark has been a finance professor at the University of Houston Bauer College of Business and has served on the board of the Futures Industry Association.
Mark holds an AB in Economics, cum laude, from Loyola University of Chicago (‘79) and an AM in Economics from Brown University (‘81). He received his Ph.D. in Economics from Brown University (‘86). Mark is currently on the Advisory Board of Chartered Alternative Investment Analyst Association (CAIA) and is an associate editor of the Journal of Alternative Investments.
