Mark Jarosz
With over 20 years of experience across private debt and structured credit markets, Mark brings a comprehensive perspective to investing across the credit spectrum. His career has been defined by originating, structuring, and investing in complex credit transactions through multiple market cycles. Before joining BMO Global Asset Management in 2022, he was a member of Canada Pension Plan’s Capital Solutions Group, following earlier experience within Coventree’s Structured Credit Group. Mark is a recognized credit expert and frequent speaker at industry conferences where he contributes to industry dialogue on innovation, relative value analysis and credit risk management. He holds a B.A. (Honours) in Economics and Commerce from the University of Toronto and a postgraduate degree in Quantitative Finance (magna cum laude) from Wilmott/NYU.
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