董事介绍
注:董事持股数取自最新公司公告
| 姓名 | 性别 | 职位 | 年龄 | 薪酬 | 持股数(万股) | 截止日期 |
|---|---|---|---|---|---|---|
| Jay S. Wintrob | 男 | Director and Chief Executive Officer | 60 | 1558.42万美元 | 未持股 | 2018-02-23 |
| Robert E. Denham | 男 | Director | 72 | 17.75万美元 | 未持股 | 2018-02-23 |
| Howard S. Marks | 男 | Director and Co-Chairman | 71 | 未披露 | 未持股 | 2018-02-23 |
| Bruce A. Karsh | 男 | Director, Co-Chairman and Chief Investment Officer | 62 | 743.60万美元 | 未持股 | 2018-02-23 |
| John B. Frank | 男 | Director and Vice Chairman | 62 | 498.40万美元 | 未持股 | 2018-02-23 |
| Larry W. Keele | 男 | Director | 60 | 未披露 | 未持股 | 2018-02-23 |
| Sheldon M. Stone | 男 | Director and Principal | 65 | 未披露 | 未持股 | 2018-02-23 |
| D. Richard Masson | 男 | Director | 59 | 21.46万美元 | 未持股 | 2018-02-23 |
| Wayne G. Pierson | 男 | Director | 67 | 20.25万美元 | 未持股 | 2018-02-23 |
| Marna C. Whittington | 女 | Director | 70 | 21.75万美元 | 未持股 | 2018-02-23 |
| Steven J. Gilbert | 男 | Director | 70 | 20.25万美元 | 未持股 | 2018-02-23 |
高管介绍
注:高管持股数取自最新公司公告
| 姓名 | 性别 | 职位 | 年龄 | 薪酬 | 持股数(万股) | 截止日期 |
|---|---|---|---|---|---|---|
| Daniel D. Levin | 男 | Chief Financial Officer | 39 | 374.51万美元 | 未持股 | 2018-02-23 |
| Jay S. Wintrob | 男 | Director and Chief Executive Officer | 60 | 1558.42万美元 | 未持股 | 2018-02-23 |
| Howard S. Marks | 男 | Director and Co-Chairman | 71 | 未披露 | 未持股 | 2018-02-23 |
| Bruce A. Karsh | 男 | Director, Co-Chairman and Chief Investment Officer | 62 | 743.60万美元 | 未持股 | 2018-02-23 |
| John B. Frank | 男 | Director and Vice Chairman | 61 | 498.40万美元 | 未持股 | 2018-02-23 |
| Sheldon M. Stone | 男 | Director and Principal | 65 | 未披露 | 未持股 | 2018-02-23 |
| Todd E. Molz | 男 | General Counsel, Chief Administrative Officer and Secretary | 46 | 402.47万美元 | 未持股 | 2018-02-23 |
| Susan Gentile | 女 | Chief Accounting Officer and Managing Director | 51 | 未披露 | 未持股 | 2018-02-23 |
董事简历
中英对照 |  中文 |  英文- Jay S. Wintrob
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Jay S. Wintrob, 自2011年9月起出任董事。 自2009年,他一直担任AIG寿险与退休的总裁兼首席执行官,总部设在美国的生活和退休服务美国国际集团「AIG」企业的执行副总裁。从2002年至2009年还担任AIG退休服务的执行副总裁。1999年至2004年,担任AIG的总监。1987年,加入SunAmerica公司作为主席助理,1989年当选高级副总裁,1991年执行副总裁,1995年副主席。 从1994年到2000年,还担任SunAmerica投资公司总裁,负责公司的投资资产组合。在AIG收购SunAmerica之后,1998年~2005年担任AIG退休服务公司副董事长,1998至2001年担任首席运营官,自2000年以来一直担任总裁,自2001年以来一直担任首席执行官。在加入SunAmerica之前, 他任职于美迈斯律师事务所。他在加州大学伯克利分校获得学士学位,并从加州大学伯克利分校的博尔特霍尔法学院获得法学博士学位。他现在是美国寿险公司委员会的董事会成员,和几个非营利组织的董事会成员,包括The Broad Foundations,The J. Paul Getty Trust信托基金和the Skirball文化中心。
Jay S. Wintrob is our Chief Executive Officer and has served as a member of the Board of Directors since September 2011. Prior to joining the firm as Chief Executive Officer, he was President and Chief Executive Officer of AIG Life and Retirement, the U.S.-based life and retirement services segment of American International Group, Inc., from 2009 to 2014. Following AIG’s acquisition of SunAmerica in 1998 Mr. Wintrob was Vice Chairman and Chief Operating Officer of AIG Retirement Services, Inc. from 1998 to 2001 and President and Chief Executive Officer from 2001 to 2009. Mr. Wintrob began his career in financial services in 1987 as Assistant to the Chairman of SunAmerica Inc., and then went on to serve in several other executive positions, including President of SunAmerica Investments, Inc. overseeing the company’s invested asset portfolio. Prior to joining SunAmerica, Mr. Wintrob was with the law firm of O’Melveny & Myers. He received his B.A. and J.D. from the University of California, Berkeley. Mr. Wintrob is a board member of several non-profit organizations, including The Broad Foundations, The Broad Contemporary Art Museum, The Doheny Eye Institute, The Los Angeles Music Center and the Skirball Cultural Center. As our Chief Executive Officer, Mr. Wintrob has broad responsibilities for our business and his service on our board of directors helps ensure that our board is well informed about our operations. Additionally, Mr. Wintrob’s investment and finance expertise and knowledge of our company add value to our board of directors. - Jay S. Wintrob, 自2011年9月起出任董事。 自2009年,他一直担任AIG寿险与退休的总裁兼首席执行官,总部设在美国的生活和退休服务美国国际集团「AIG」企业的执行副总裁。从2002年至2009年还担任AIG退休服务的执行副总裁。1999年至2004年,担任AIG的总监。1987年,加入SunAmerica公司作为主席助理,1989年当选高级副总裁,1991年执行副总裁,1995年副主席。 从1994年到2000年,还担任SunAmerica投资公司总裁,负责公司的投资资产组合。在AIG收购SunAmerica之后,1998年~2005年担任AIG退休服务公司副董事长,1998至2001年担任首席运营官,自2000年以来一直担任总裁,自2001年以来一直担任首席执行官。在加入SunAmerica之前, 他任职于美迈斯律师事务所。他在加州大学伯克利分校获得学士学位,并从加州大学伯克利分校的博尔特霍尔法学院获得法学博士学位。他现在是美国寿险公司委员会的董事会成员,和几个非营利组织的董事会成员,包括The Broad Foundations,The J. Paul Getty Trust信托基金和the Skirball文化中心。
- Jay S. Wintrob is our Chief Executive Officer and has served as a member of the Board of Directors since September 2011. Prior to joining the firm as Chief Executive Officer, he was President and Chief Executive Officer of AIG Life and Retirement, the U.S.-based life and retirement services segment of American International Group, Inc., from 2009 to 2014. Following AIG’s acquisition of SunAmerica in 1998 Mr. Wintrob was Vice Chairman and Chief Operating Officer of AIG Retirement Services, Inc. from 1998 to 2001 and President and Chief Executive Officer from 2001 to 2009. Mr. Wintrob began his career in financial services in 1987 as Assistant to the Chairman of SunAmerica Inc., and then went on to serve in several other executive positions, including President of SunAmerica Investments, Inc. overseeing the company’s invested asset portfolio. Prior to joining SunAmerica, Mr. Wintrob was with the law firm of O’Melveny & Myers. He received his B.A. and J.D. from the University of California, Berkeley. Mr. Wintrob is a board member of several non-profit organizations, including The Broad Foundations, The Broad Contemporary Art Museum, The Doheny Eye Institute, The Los Angeles Music Center and the Skirball Cultural Center. As our Chief Executive Officer, Mr. Wintrob has broad responsibilities for our business and his service on our board of directors helps ensure that our board is well informed about our operations. Additionally, Mr. Wintrob’s investment and finance expertise and knowledge of our company add value to our board of directors.
- Robert E. Denham
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Robert E. Denham,他自1998年起任芒格、托尔与欧森律师事务所合伙人。1992年至1998年,曾任所罗门公司董事长兼首席执行官;1991年至1992年,曾任所罗门公司和所罗门兄弟公司总法律顾问;1985年至1991年,曾任芒格、托尔与欧森律师事务所执行合伙人;1973年至1991年,曾任芒格、托尔与欧森律师事务所合伙人;2007年起任2012年上市Oaktree Capital Group, LLC公司合伙人;2004年起任雪佛龙公司合伙人; 2001年起任Fomento Econ&mico Mexicano, S.A. de C.V。 合伙人; 2012年至2013年,曾任UGL Limited合伙人; 2000年至2011年,曾任Wesco Financial Corporation合伙人。
Robert E. Denham as served as a member of our Board of Directors since 2008 including as presiding director from 2013 to 2019. Mr. Denham is a partner of Munger, Tolles & Olson LLP from 1973 to 1991 and since 1998. From 1992 to 1998 he was chairman and chief executive officer of Salomon Inc, and from 1991 to 1992 he was general counsel of Salomon Inc and Salomon Brothers. Mr. Denham has served as a director of Fomento Económico Mexicano, S.A. de C.V. since 2001. Mr. Denham was a director of Oaktree Capital Group LLC from 2007 to 2019 and Chevron Corporation from 2004 to 2018. - Robert E. Denham,他自1998年起任芒格、托尔与欧森律师事务所合伙人。1992年至1998年,曾任所罗门公司董事长兼首席执行官;1991年至1992年,曾任所罗门公司和所罗门兄弟公司总法律顾问;1985年至1991年,曾任芒格、托尔与欧森律师事务所执行合伙人;1973年至1991年,曾任芒格、托尔与欧森律师事务所合伙人;2007年起任2012年上市Oaktree Capital Group, LLC公司合伙人;2004年起任雪佛龙公司合伙人; 2001年起任Fomento Econ&mico Mexicano, S.A. de C.V。 合伙人; 2012年至2013年,曾任UGL Limited合伙人; 2000年至2011年,曾任Wesco Financial Corporation合伙人。
- Robert E. Denham as served as a member of our Board of Directors since 2008 including as presiding director from 2013 to 2019. Mr. Denham is a partner of Munger, Tolles & Olson LLP from 1973 to 1991 and since 1998. From 1992 to 1998 he was chairman and chief executive officer of Salomon Inc, and from 1991 to 1992 he was general counsel of Salomon Inc and Salomon Brothers. Mr. Denham has served as a director of Fomento Económico Mexicano, S.A. de C.V. since 2001. Mr. Denham was a director of Oaktree Capital Group LLC from 2007 to 2019 and Chevron Corporation from 2004 to 2018.
- Howard S. Marks
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Howard S. Marks,从1985年到1995年,Marks先生领导着TCW Group,Inc.负责不良债务、高收益债券和可转换证券投资的团队。他还曾担任TCW国内固定收益首席投资官。此前,Marks先生在Citicorp Investment Management工作了16年,从1978年到1985年,他担任副总裁兼高级投资组合经理,负责可转换和高收益证券。在1969年至1978年期间,他是一名股票研究分析师,随后成为花旗集团的研究总监。Marks先生以优异成绩获得宾夕法尼亚大学沃顿商学院金融专业理学学士学位,并获得芝加哥大学布斯商学院会计和市场营销硕士学位,在那里他获得了乔治·海·布朗奖。他是CFA特许持有人。Marks先生是Edmond J. Safra基金会投资委员会成员、大都会艺术博物馆投资委员会副主席;大都会博物馆受托人;皇家绘画学院董事会主席;宾夕法尼亚大学名誉受托人,2000年至2010年担任投资委员会主席。
Howard S. Marks,From 1985 until 1995 Mr. Marks led the groups at The TCW Group, Inc. that were responsible for investments in distressed debt, high yield bonds, and convertible securities. He was also Chief Investment Officer for Domestic Fixed Income at TCW. Previously, Mr. Marks was with Citicorp Investment Management for 16 years, where from 1978 to 1985 he was Vice President and senior portfolio manager in charge of convertible and high yield securities. Between 1969 and 1978 he was an equity research analyst and, subsequently, Citicorp's Director of Research. Mr. Marks holds a B.S.Ec. degree cum laude from the Wharton School of the University of Pennsylvania with a major in finance and an M.B.A. in accounting and marketing from the Booth School of Business of the University of Chicago, where he received the George Hay Brown Prize. He is a CFA charterholder. Mr. Marks is a member of the Investment Committee of the Edmond J. Safra Foundation, and the Vice Chairman of the Investment Committee of the Metropolitan Museum of Art; a Trustee of the Metropolitan Museum; Chairman of the Board of Trustees of the Royal Drawing School; and an Emeritus Trustee of the University of Pennsylvania where from 2000 to 2010 he chaired the Investment Board. - Howard S. Marks,从1985年到1995年,Marks先生领导着TCW Group,Inc.负责不良债务、高收益债券和可转换证券投资的团队。他还曾担任TCW国内固定收益首席投资官。此前,Marks先生在Citicorp Investment Management工作了16年,从1978年到1985年,他担任副总裁兼高级投资组合经理,负责可转换和高收益证券。在1969年至1978年期间,他是一名股票研究分析师,随后成为花旗集团的研究总监。Marks先生以优异成绩获得宾夕法尼亚大学沃顿商学院金融专业理学学士学位,并获得芝加哥大学布斯商学院会计和市场营销硕士学位,在那里他获得了乔治·海·布朗奖。他是CFA特许持有人。Marks先生是Edmond J. Safra基金会投资委员会成员、大都会艺术博物馆投资委员会副主席;大都会博物馆受托人;皇家绘画学院董事会主席;宾夕法尼亚大学名誉受托人,2000年至2010年担任投资委员会主席。
- Howard S. Marks,From 1985 until 1995 Mr. Marks led the groups at The TCW Group, Inc. that were responsible for investments in distressed debt, high yield bonds, and convertible securities. He was also Chief Investment Officer for Domestic Fixed Income at TCW. Previously, Mr. Marks was with Citicorp Investment Management for 16 years, where from 1978 to 1985 he was Vice President and senior portfolio manager in charge of convertible and high yield securities. Between 1969 and 1978 he was an equity research analyst and, subsequently, Citicorp's Director of Research. Mr. Marks holds a B.S.Ec. degree cum laude from the Wharton School of the University of Pennsylvania with a major in finance and an M.B.A. in accounting and marketing from the Booth School of Business of the University of Chicago, where he received the George Hay Brown Prize. He is a CFA charterholder. Mr. Marks is a member of the Investment Committee of the Edmond J. Safra Foundation, and the Vice Chairman of the Investment Committee of the Metropolitan Museum of Art; a Trustee of the Metropolitan Museum; Chairman of the Board of Trustees of the Royal Drawing School; and an Emeritus Trustee of the University of Pennsylvania where from 2000 to 2010 he chaired the Investment Board.
- Bruce A. Karsh
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Bruce A. Karsh,是我们Oaktree Capital Group, Llc的总裁和创始人之一,2007年5月以来一直是董事。他还担任首席投资官,并担任Oaktree的不良机会和价值机会策略部门投资组合经理。任职于Oaktree之前,他是SunAmerica, Inc.董事总经理,并于1988年到1995年担任the Special Credits Funds投资组合经理基金。加入TCW之前,卡他担任SunAmerica,Inc主席助理。在此之前,他是律师事务所O'Melveny & Myers的律师。任职于O'Melveny & Myers之前他是the Honorable Anthony M. Kennedy的职员,后来是the U.S. Court of Appeals for the Ninth Circuit职员,目前是Associate Justice of the U.S. Supreme Court职员。他在杜克大学(Duke University)一优异成绩获得经济学学位,在那里他被选入美国大学优等生荣誉学会(Phi Beta Kappa)。他继续在弗吉尼亚大学法学院(the University of Virginia School of Law)获得法学博士学位,在那里他 the Virginia Law Review的编辑,并是the Order of the Coif的成员。他目前是杜克大学(Duke University)理事会成员,并是杜克大学(Duke University)投资管理子公司DUMAC, LLC.的董事会主席。此外,他目前是Tribune Company和许多私营企业的董事会成员。他在此之前在Charter Communications, Inc.、Furniture Brands International,、KinderCare Learning Centers, Inc.、Littelfuse Inc.担任董事。
Bruce A. Karsh is our Co-Chairman and one of the firm’s co-founders and has been a director since May 2007. He also is Chief Investment Officer and serves as portfolio manager for Oaktree’s Distressed Opportunities, Value Opportunities and Multi-Strategy Credit strategies. Prior to co-founding Oaktree, Mr. Karsh was a managing director of TCW Asset Management Company, and the portfolio manager of the Special Credits Funds from 1988 until 1995. Prior to joining TCW, Mr. Karsh worked as Assistant to the Chairman of SunAmerica, Inc. Prior to that, he was an attorney with the law firm of O’Melveny & Myers. Before working at O’Melveny & Myers, Mr. Karsh clerked for the Honorable Anthony M. Kennedy, then of the U.S. Court of Appeals for the Ninth Circuit and presently Associate Justice of the U.S. Supreme Court. Mr. Karsh holds an A.B. degree in economics summa cum laude from Duke University, where he was elected to Phi Beta Kappa. He went on to earn a J.D. from the University of Virginia School of Law, where he served as Notes Editor of the Virginia Law Review and was a member of the Order of the Coif. Mr. Karsh serves on the boards of a number of privately held companies. He is a member of the investment committee of the Broad Foundations. Mr. Karsh is Trustee Emeritus of Duke University, having served as Trustee from 2003 to 2015 and as Chairman of the Board of DUMAC, LLC, the entity that managed Duke’s endowment, from 2005 to 2014. He previously served on the boards of Charter Communications, Inc.; Furniture Brands International; KinderCare Learning Centers, Inc.; and Littelfuse Inc. Mr. Karsh is highly respected as one of the leading portfolio managers in the area of distressed debt investing, one of our flagship investment strategies. Additionally, Mr. Karsh’s extensive leadership and management skills and his current and past service on boards of other public companies add value to our board of directors. - Bruce A. Karsh,是我们Oaktree Capital Group, Llc的总裁和创始人之一,2007年5月以来一直是董事。他还担任首席投资官,并担任Oaktree的不良机会和价值机会策略部门投资组合经理。任职于Oaktree之前,他是SunAmerica, Inc.董事总经理,并于1988年到1995年担任the Special Credits Funds投资组合经理基金。加入TCW之前,卡他担任SunAmerica,Inc主席助理。在此之前,他是律师事务所O'Melveny & Myers的律师。任职于O'Melveny & Myers之前他是the Honorable Anthony M. Kennedy的职员,后来是the U.S. Court of Appeals for the Ninth Circuit职员,目前是Associate Justice of the U.S. Supreme Court职员。他在杜克大学(Duke University)一优异成绩获得经济学学位,在那里他被选入美国大学优等生荣誉学会(Phi Beta Kappa)。他继续在弗吉尼亚大学法学院(the University of Virginia School of Law)获得法学博士学位,在那里他 the Virginia Law Review的编辑,并是the Order of the Coif的成员。他目前是杜克大学(Duke University)理事会成员,并是杜克大学(Duke University)投资管理子公司DUMAC, LLC.的董事会主席。此外,他目前是Tribune Company和许多私营企业的董事会成员。他在此之前在Charter Communications, Inc.、Furniture Brands International,、KinderCare Learning Centers, Inc.、Littelfuse Inc.担任董事。
- Bruce A. Karsh is our Co-Chairman and one of the firm’s co-founders and has been a director since May 2007. He also is Chief Investment Officer and serves as portfolio manager for Oaktree’s Distressed Opportunities, Value Opportunities and Multi-Strategy Credit strategies. Prior to co-founding Oaktree, Mr. Karsh was a managing director of TCW Asset Management Company, and the portfolio manager of the Special Credits Funds from 1988 until 1995. Prior to joining TCW, Mr. Karsh worked as Assistant to the Chairman of SunAmerica, Inc. Prior to that, he was an attorney with the law firm of O’Melveny & Myers. Before working at O’Melveny & Myers, Mr. Karsh clerked for the Honorable Anthony M. Kennedy, then of the U.S. Court of Appeals for the Ninth Circuit and presently Associate Justice of the U.S. Supreme Court. Mr. Karsh holds an A.B. degree in economics summa cum laude from Duke University, where he was elected to Phi Beta Kappa. He went on to earn a J.D. from the University of Virginia School of Law, where he served as Notes Editor of the Virginia Law Review and was a member of the Order of the Coif. Mr. Karsh serves on the boards of a number of privately held companies. He is a member of the investment committee of the Broad Foundations. Mr. Karsh is Trustee Emeritus of Duke University, having served as Trustee from 2003 to 2015 and as Chairman of the Board of DUMAC, LLC, the entity that managed Duke’s endowment, from 2005 to 2014. He previously served on the boards of Charter Communications, Inc.; Furniture Brands International; KinderCare Learning Centers, Inc.; and Littelfuse Inc. Mr. Karsh is highly respected as one of the leading portfolio managers in the area of distressed debt investing, one of our flagship investment strategies. Additionally, Mr. Karsh’s extensive leadership and management skills and his current and past service on boards of other public companies add value to our board of directors.
- John B. Frank
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John B. Frank,Oaktree Capital Group, LLC(“Oaktree Capital”),全球投资管理公司。副董事长(2014年至今);董事(自2007年起)和执行委员会成员。管理校长(2005-2014);总法律顾问(2001-2005)。Munger, Tolles & Olson LLP,一家领先的律师事务所。
John B. Frank,has been a member of the Board since October 2017 and currently serves as a member of the Co-Investment Committee. Mr. Frank has been Oaktree's Vice Chairman since 2014 and has served on the board of directors of OCG since 2007. Prior to holding this position, Mr. Frank served as Oaktree's Managing Principal from 2006 to 2014 and served as Oaktree's General Counsel from 2001 to 2006. As Managing Principal of Oaktree, Mr. Frank was the firm's principal executive officer and was responsible for all aspects of the firm's management. Prior to joining Oaktree, Mr. Frank was a partner of the law firm Munger, Tolles & Olson LLP, where he managed a number of notable mergers and acquisitions transactions. While at that firm, he served as primary outside counsel to public and privately-held corporations and as special counsel to various boards of directors and special board committees. Prior to joining Munger, Tolles & Olson LLP in 1984, Mr. Frank served as a law clerk to the Honorable Frank M. Coffin of the United States Court of Appeals for the First Circuit. He is a member of the State Bar of California and, while in private practice, was listed in Woodward & White's Best Lawyers in America. Mr. Frank is a member of the Board of Directors of Chevron Corporation, ADRx, Inc., Daily Journal Corporation and Oaktree Acquisition Corp. III Life Sciences, and is a Trustee of the XPRIZE Foundation, The James Irvine Foundation and the John Randolph Haynes and Dora Haynes Foundation. Mr. Frank previously served on the Board of Directors of OCSI, Oaktree Acquisition Corp., Oaktree Acquisition Corp. II, and Oaktree Acquisition Corp. III and as a Trustee of Wesleyan University. Mr. Frank holds a B.A. with honors from Wesleyan University and a J.D. magna cum laude from the University of Michigan Law School where he was Managing Editor of the Michigan Law Review and a member of the Order of the Coif. - John B. Frank,Oaktree Capital Group, LLC(“Oaktree Capital”),全球投资管理公司。副董事长(2014年至今);董事(自2007年起)和执行委员会成员。管理校长(2005-2014);总法律顾问(2001-2005)。Munger, Tolles & Olson LLP,一家领先的律师事务所。
- John B. Frank,has been a member of the Board since October 2017 and currently serves as a member of the Co-Investment Committee. Mr. Frank has been Oaktree's Vice Chairman since 2014 and has served on the board of directors of OCG since 2007. Prior to holding this position, Mr. Frank served as Oaktree's Managing Principal from 2006 to 2014 and served as Oaktree's General Counsel from 2001 to 2006. As Managing Principal of Oaktree, Mr. Frank was the firm's principal executive officer and was responsible for all aspects of the firm's management. Prior to joining Oaktree, Mr. Frank was a partner of the law firm Munger, Tolles & Olson LLP, where he managed a number of notable mergers and acquisitions transactions. While at that firm, he served as primary outside counsel to public and privately-held corporations and as special counsel to various boards of directors and special board committees. Prior to joining Munger, Tolles & Olson LLP in 1984, Mr. Frank served as a law clerk to the Honorable Frank M. Coffin of the United States Court of Appeals for the First Circuit. He is a member of the State Bar of California and, while in private practice, was listed in Woodward & White's Best Lawyers in America. Mr. Frank is a member of the Board of Directors of Chevron Corporation, ADRx, Inc., Daily Journal Corporation and Oaktree Acquisition Corp. III Life Sciences, and is a Trustee of the XPRIZE Foundation, The James Irvine Foundation and the John Randolph Haynes and Dora Haynes Foundation. Mr. Frank previously served on the Board of Directors of OCSI, Oaktree Acquisition Corp., Oaktree Acquisition Corp. II, and Oaktree Acquisition Corp. III and as a Trustee of Wesleyan University. Mr. Frank holds a B.A. with honors from Wesleyan University and a J.D. magna cum laude from the University of Michigan Law School where he was Managing Editor of the Michigan Law Review and a member of the Order of the Coif.
- Larry W. Keele
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Larry W. Keele,是Oaktree Capital Group, Llc的联合创始人,2007年5月以来担任董事。他是我们公司可转换证券部门的负责人。1986年到1995年,他负责管理Trust Company of the West的可转换价值的投资组合。加入TCW之前,他组织和管理he NationsBank Equity Income Fund,该基金是专门从事可转换证券股票和高收益的混合基金。他还担任安全分析师和机构投资组合经理。他在田纳西科技大学(Tennessee Technological University)获得金融学理学学士学位,在南卡罗来纳大学(the University of South Carolina)获得金融专业工商管理硕士学位,他还是一个特许金融分析师。
Larry W. Keele has been a director since May 2007. Prior to his retirement in 2015 Mr. Keele was a co-founder and Principal of Oaktree, where for over 20 years, he served as a portfolio manager and head of the Convertible Securities group. From 1986 to 1995 Mr. Keele managed Trust Company of the West's Convertible Value portfolios. Prior to joining TCW, Mr. Keele organized and managed the NationsBank Equity Income Fund, a commingled fund specializing in convertible securities and high yielding equities. He also served as a Security Analyst and Institutional Portfolio Manager. Mr. Keele holds a B.B.A. degree in Finance from Tennessee Technological University and an M.B.A. in Finance from the University of South Carolina. He is a CFA charterholder. Mr. Keele's investment and finance expertise and his familiarity with our company add value to our board of directors and to our business. - Larry W. Keele,是Oaktree Capital Group, Llc的联合创始人,2007年5月以来担任董事。他是我们公司可转换证券部门的负责人。1986年到1995年,他负责管理Trust Company of the West的可转换价值的投资组合。加入TCW之前,他组织和管理he NationsBank Equity Income Fund,该基金是专门从事可转换证券股票和高收益的混合基金。他还担任安全分析师和机构投资组合经理。他在田纳西科技大学(Tennessee Technological University)获得金融学理学学士学位,在南卡罗来纳大学(the University of South Carolina)获得金融专业工商管理硕士学位,他还是一个特许金融分析师。
- Larry W. Keele has been a director since May 2007. Prior to his retirement in 2015 Mr. Keele was a co-founder and Principal of Oaktree, where for over 20 years, he served as a portfolio manager and head of the Convertible Securities group. From 1986 to 1995 Mr. Keele managed Trust Company of the West's Convertible Value portfolios. Prior to joining TCW, Mr. Keele organized and managed the NationsBank Equity Income Fund, a commingled fund specializing in convertible securities and high yielding equities. He also served as a Security Analyst and Institutional Portfolio Manager. Mr. Keele holds a B.B.A. degree in Finance from Tennessee Technological University and an M.B.A. in Finance from the University of South Carolina. He is a CFA charterholder. Mr. Keele's investment and finance expertise and his familiarity with our company add value to our board of directors and to our business.
- Sheldon M. Stone
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Sheldon M. Stone,负责人和联合创始人,2007年5月以来担任董事。 他担任Oaktree美国高收益债券策略的投资组合经理,并担任其全球高收益债券策略联席投资组合经理。此外,他还负责监管Oaktree欧洲高收益债券策略。他创建了TCW 的高收益债券部门,于1985年加入并运行该部门十年。加入TCW之前,他在Citibank工作了两年,在这里他从事信用分析和管理高收益债券投资组合。他于1978年到1983年在The Prudential Insurance Company工作,在这里他担任公司财务主管,管理超过10亿美元的固定收益投资组合。他在鲍登学院获得学士学位,在哥伦比亚大学获得会计和金融工商管理硕士学位。他担任Colonial Williamsburg Foundation 和鲍登学院(Bowdoin College)的理事会成员。
Sheldon M. Stone is a Principal and a co-founder and has been a director since May 2007. Mr. Stone is the head of Oaktree's high yield bond area. In this capacity, he serves as co-portfolio manager of Oaktree's U.S. High Yield Bond and Global High Yield Bond strategies and has supervisory responsibility for European High Yield Bonds. Mr. Stone, a co-founding member of Oaktree in 1995 established TCW's High Yield Bond department with Mr. Marks in 1985 and ran the department for ten years. Prior to joining TCW, Mr. Stone worked with Mr. Marks at Citibank for two years where he performed credit analysis and managed high yield bond portfolios. From 1978 to 1983 Mr. Stone worked at The Prudential Insurance Company where he was a director of corporate finance, managing a fixed income portfolio exceeding $1 billion. Mr. Stone holds a B.A. degree from Bowdoin College and an M.B.A. in accounting and finance from Columbia University. Mr. Stone serves as a Trustee of Colonial Williamsburg Foundation and serves on the investment committee of Bowdoin College. - Sheldon M. Stone,负责人和联合创始人,2007年5月以来担任董事。 他担任Oaktree美国高收益债券策略的投资组合经理,并担任其全球高收益债券策略联席投资组合经理。此外,他还负责监管Oaktree欧洲高收益债券策略。他创建了TCW 的高收益债券部门,于1985年加入并运行该部门十年。加入TCW之前,他在Citibank工作了两年,在这里他从事信用分析和管理高收益债券投资组合。他于1978年到1983年在The Prudential Insurance Company工作,在这里他担任公司财务主管,管理超过10亿美元的固定收益投资组合。他在鲍登学院获得学士学位,在哥伦比亚大学获得会计和金融工商管理硕士学位。他担任Colonial Williamsburg Foundation 和鲍登学院(Bowdoin College)的理事会成员。
- Sheldon M. Stone is a Principal and a co-founder and has been a director since May 2007. Mr. Stone is the head of Oaktree's high yield bond area. In this capacity, he serves as co-portfolio manager of Oaktree's U.S. High Yield Bond and Global High Yield Bond strategies and has supervisory responsibility for European High Yield Bonds. Mr. Stone, a co-founding member of Oaktree in 1995 established TCW's High Yield Bond department with Mr. Marks in 1985 and ran the department for ten years. Prior to joining TCW, Mr. Stone worked with Mr. Marks at Citibank for two years where he performed credit analysis and managed high yield bond portfolios. From 1978 to 1983 Mr. Stone worked at The Prudential Insurance Company where he was a director of corporate finance, managing a fixed income portfolio exceeding $1 billion. Mr. Stone holds a B.A. degree from Bowdoin College and an M.B.A. in accounting and finance from Columbia University. Mr. Stone serves as a Trustee of Colonial Williamsburg Foundation and serves on the investment committee of Bowdoin College.
- D. Richard Masson
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D. Richard Masson,2007年5月以来担任Oaktree Capital Group, Llc董事。他于2009年从Oaktree退休之前,是Oaktree的联合创始人和负责人,在这里他1995年到2001年担任不良债务策略(the Distressed Debt strategy)分析主管,并于2001年到2009年担任联席分析主管。之前,他是TCW及其附属机构TCW Asset Management Company的董事总经理,并是特殊信用分析部门负责人。在1988年加入TCW之前,他在Houlihan, Lokey, Howard and Zukin, Inc.工作了三年,在这里他负责证券业务的评估和分析。加入Houlihan之前,他是洛杉矶Price Waterhouse综合性专业服务部门的高级会计师。他在加州大学伯克利分校(the University of California at Berkeley)获得工商管理学士学位,在加州大学洛杉矶分校(the University of California at Los Angeles)获得金融学工商管理硕士学位。他是一个不活跃的注册会计师。
D. Richard Masson has been a director since May 2007. Prior to his retirement from Oaktree in 2009 Mr. Masson was a co-founder and Principal of Oaktree, where he served as head of analysis for the Distressed Debt strategy from 1995 to 2001 and as co-head of analysis from 2001 to 2009. Prior thereto, he was Managing Director of TCW and its affiliate, TCW Asset Management Company, and head of the Special Credits Analytical Group. Prior to joining TCW in 1988 Mr. Masson worked for three years at Houlihan, Lokey, Howard and Zukin, Inc., where he was responsible for the valuation and analysis of securities and businesses. Prior to Houlihan, Mr. Masson was a senior accountant with the Comprehensive Professional Services Group at Price Waterhouse in Los Angeles. Mr. Masson holds a B.S. in Business Administration from the University of California at Berkeley and an M.B.A. in finance from the University of California at Los Angeles. He is a Certified Public Accountant inactive. Mr. Masson’s investment and finance expertise and his familiarity with our company add value to our board of directors. - D. Richard Masson,2007年5月以来担任Oaktree Capital Group, Llc董事。他于2009年从Oaktree退休之前,是Oaktree的联合创始人和负责人,在这里他1995年到2001年担任不良债务策略(the Distressed Debt strategy)分析主管,并于2001年到2009年担任联席分析主管。之前,他是TCW及其附属机构TCW Asset Management Company的董事总经理,并是特殊信用分析部门负责人。在1988年加入TCW之前,他在Houlihan, Lokey, Howard and Zukin, Inc.工作了三年,在这里他负责证券业务的评估和分析。加入Houlihan之前,他是洛杉矶Price Waterhouse综合性专业服务部门的高级会计师。他在加州大学伯克利分校(the University of California at Berkeley)获得工商管理学士学位,在加州大学洛杉矶分校(the University of California at Los Angeles)获得金融学工商管理硕士学位。他是一个不活跃的注册会计师。
- D. Richard Masson has been a director since May 2007. Prior to his retirement from Oaktree in 2009 Mr. Masson was a co-founder and Principal of Oaktree, where he served as head of analysis for the Distressed Debt strategy from 1995 to 2001 and as co-head of analysis from 2001 to 2009. Prior thereto, he was Managing Director of TCW and its affiliate, TCW Asset Management Company, and head of the Special Credits Analytical Group. Prior to joining TCW in 1988 Mr. Masson worked for three years at Houlihan, Lokey, Howard and Zukin, Inc., where he was responsible for the valuation and analysis of securities and businesses. Prior to Houlihan, Mr. Masson was a senior accountant with the Comprehensive Professional Services Group at Price Waterhouse in Los Angeles. Mr. Masson holds a B.S. in Business Administration from the University of California at Berkeley and an M.B.A. in finance from the University of California at Los Angeles. He is a Certified Public Accountant inactive. Mr. Masson’s investment and finance expertise and his familiarity with our company add value to our board of directors.
- Wayne G. Pierson
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Wayne G. Pierson,2007年11月以来担任董事。他是Meyer Memorial Trust的首席金融和投资官员,该公司是7个长期Oaktree客户的最初财团之一,于2004年2月成为Oaktree的团体投资人。他目前担任OCGH的投资者Acorn Investors, LLC公司的总裁。加入Meyer Memorial Trust之前,他于1980年到1982年担任Gregory Affiliates的财务主管。1973年到1980年,他担任Ernst & Young的审计主管。他为the Foundation Financial Officers Group(代表基础资产超过2000亿美元的150多个基金)发起并继续进行了一个全面的投资调查。他担任许多私人股本基金的顾问委员会成员,并是数家私人信托公司的受托人。此外,他是M Fund, Inc.的董事会成员,并是Clifford Capital Partners, LLC负责人。他在加州州立大学北岭分校(California State University, Northridge)以优等成绩毕业并获得工商管理学士学位,他还是注册会计师和特许金融分析师。
Wayne G. Pierson has been a director since November 2007. Mr. Pierson currently serves as President of Acorn Investors, LLC, an investor in OCGH which consists of six longstanding Oaktree clients who became institutional investors in Oaktree in February 2004. Mr. Pierson retired from Meyer Memorial Trust a member of Acorn Investors, LLC after 32 years as the Chief Financial & Investment Officer. Prior to joining Meyer Memorial Trust, Mr. Pierson served as treasurer of Gregory Affiliates from 1980 until 1982. From 1973 until 1980 he served as an audit supervisor with Ernst & Young. Mr. Pierson initiated and conducted a comprehensive investment survey for the Foundation Financial Officers Group, representing more than 160 foundations with assets totaling approximately $250 billion for over 20 years. He has served on a number of private equity fund advisory boards and was a trustee for several private trusts. In addition, he serves on the board of directors of M Fund, Inc. and is a principal with Clifford Capital Partners, LLC. Mr. Pierson received a B.S. in business administration cum laude from California State University, Northridge and is a Certified Public Accountant and CFA charterholder. Mr. Pierson’s investment and finance expertise and his familiarity with our company add value to our board of directors. - Wayne G. Pierson,2007年11月以来担任董事。他是Meyer Memorial Trust的首席金融和投资官员,该公司是7个长期Oaktree客户的最初财团之一,于2004年2月成为Oaktree的团体投资人。他目前担任OCGH的投资者Acorn Investors, LLC公司的总裁。加入Meyer Memorial Trust之前,他于1980年到1982年担任Gregory Affiliates的财务主管。1973年到1980年,他担任Ernst & Young的审计主管。他为the Foundation Financial Officers Group(代表基础资产超过2000亿美元的150多个基金)发起并继续进行了一个全面的投资调查。他担任许多私人股本基金的顾问委员会成员,并是数家私人信托公司的受托人。此外,他是M Fund, Inc.的董事会成员,并是Clifford Capital Partners, LLC负责人。他在加州州立大学北岭分校(California State University, Northridge)以优等成绩毕业并获得工商管理学士学位,他还是注册会计师和特许金融分析师。
- Wayne G. Pierson has been a director since November 2007. Mr. Pierson currently serves as President of Acorn Investors, LLC, an investor in OCGH which consists of six longstanding Oaktree clients who became institutional investors in Oaktree in February 2004. Mr. Pierson retired from Meyer Memorial Trust a member of Acorn Investors, LLC after 32 years as the Chief Financial & Investment Officer. Prior to joining Meyer Memorial Trust, Mr. Pierson served as treasurer of Gregory Affiliates from 1980 until 1982. From 1973 until 1980 he served as an audit supervisor with Ernst & Young. Mr. Pierson initiated and conducted a comprehensive investment survey for the Foundation Financial Officers Group, representing more than 160 foundations with assets totaling approximately $250 billion for over 20 years. He has served on a number of private equity fund advisory boards and was a trustee for several private trusts. In addition, he serves on the board of directors of M Fund, Inc. and is a principal with Clifford Capital Partners, LLC. Mr. Pierson received a B.S. in business administration cum laude from California State University, Northridge and is a Certified Public Accountant and CFA charterholder. Mr. Pierson’s investment and finance expertise and his familiarity with our company add value to our board of directors.
- Marna C. Whittington
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Marna C. Whittington,作为投资管理行业的前高级管理人员,包括担任Allianz Global Investors Capital的首席执行官,拥有多年的领导经验和专业知识,为Phillips 66董事会提供了国际业务、财务报告、风险管理和投资银行事务方面的丰富经验。她此前曾通过担任HRCC主席,直接与Phillips 66的股东进行治理和薪酬相关的对话,并通过最近对Phillips 66高管薪酬计划所做的更改,帮助Phillips 66董事会展示了对股东反馈的响应能力。此外,在她担任HRCC主席期间,在公司发展的关键时刻,她从管理层继任计划和高管薪酬的角度帮助Phillips 66驾驭了Phillips 66最近的领导层交接。
Marna C. Whittington,many years of leadership experience and expertise as a former senior executive in the investment management industry, including as Chief Executive Officer of Allianz Global Investors Capital, provides Phillips 66 Board with substantial experience in international business, financial reporting, risk management and investment banking matters.She has previously engaged directly with Phillips 66 shareholders in governance and compensation-related conversations through her role as Chair of the HRCC and helped Phillips 66 Board demonstrate responsiveness to shareholder feedback through recent changes made to Phillips 66 executive compensation program.Additionally, within her role as Chair of the HRCC, she has helped Phillips 66 navigate Phillips 66 recent leadership transition from a management succession planning and executive compensation perspective at a critical time in the Company's evolution. - Marna C. Whittington,作为投资管理行业的前高级管理人员,包括担任Allianz Global Investors Capital的首席执行官,拥有多年的领导经验和专业知识,为Phillips 66董事会提供了国际业务、财务报告、风险管理和投资银行事务方面的丰富经验。她此前曾通过担任HRCC主席,直接与Phillips 66的股东进行治理和薪酬相关的对话,并通过最近对Phillips 66高管薪酬计划所做的更改,帮助Phillips 66董事会展示了对股东反馈的响应能力。此外,在她担任HRCC主席期间,在公司发展的关键时刻,她从管理层继任计划和高管薪酬的角度帮助Phillips 66驾驭了Phillips 66最近的领导层交接。
- Marna C. Whittington,many years of leadership experience and expertise as a former senior executive in the investment management industry, including as Chief Executive Officer of Allianz Global Investors Capital, provides Phillips 66 Board with substantial experience in international business, financial reporting, risk management and investment banking matters.She has previously engaged directly with Phillips 66 shareholders in governance and compensation-related conversations through her role as Chair of the HRCC and helped Phillips 66 Board demonstrate responsiveness to shareholder feedback through recent changes made to Phillips 66 executive compensation program.Additionally, within her role as Chair of the HRCC, she has helped Phillips 66 navigate Phillips 66 recent leadership transition from a management succession planning and executive compensation perspective at a critical time in the Company's evolution.
- Steven J. Gilbert
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Steven J. Gilbert自2013年1月30日起担任TRI Pointe的董事,自1998年起他担任Gilbert Global Equity Partners, L.P。的董事会主席,这是十亿美元价值的私募股权基金。Gilbert先生是MidOcean Equity Partners, LP的副总裁,2007年1月至2012年4月他曾任Stone Tower Capital的副总裁,直到2009年他都是Sun Group USA的高级常务董事兼董事长。1992年至1997年他是Soros Capital L.P。的创始人兼公司董事合伙人,这是Quantum Group of Funds主要的风险投资和杠杆交易实体,同时他也是Quantum Industrial Holdings Ltd的主要顾问。1988年至1992年Gilbert先生是私募股权投资公司Commonwealth Capital Partners, L.P。的常务董事,在此之前,1984年至1988年他担任Chemical Venture Partners (即现在的J. P. Morgan Capital Partners)的公司董事合伙人,该公司由他创立。1970年他成为Massachusetts Bar的一员,在马萨诸塞州波士顿的Goodwin Procter & Hoar从事法律事务。1972年至1976年Gilbert先生担任Morgan Stanley & Co。的公司财务人员,1976年至1978年担任Wertheim & Co., Inc.的副总裁,1978年至1980年担任E. F. Hutton International的常务董事。近期他曾担任过Dura Automotive Systems, Inc.的董事会主席, CPM Holdings、 True Temper Sports的董事长,J. O. Hambro Capital Management Group 和 Asian Infrastructure Fund的董事。Gilbert先生也是Continental Grain的高级顾问以及纽约证券交易所一家上市公司MBIA, Inc.,(NYSE: MBI)的董事,他也是Empire State Realty Trust (NYSE: ESRT)的首席独立董事。之前,Gilbert先生担任过多个公司的董事,包括Monteplier Re、 Olympus Trust、 Office Depot, Inc.、Funk & Wagnalls, Inc.、 Parker Pen Limited、Piggly Wiggly Southern, Inc.、 Coast Community News, Inc.、 GTS-Duratek、 Magnavox Electronic Systems Company、 UroMed Corporation、 Star City Casino Holdings, Ltd.、 Katz Media Corporation、Airport Group International、 Batavia Investment Management, Ltd.、 Affinity Financial Group, Inc.、 ESAT Telecom, Ltd.、 Colep Holding, Ltd.、NFO Worldwide、Terra Nova (Bermuda) Holdings, Limited 和 Veritas-DCG。1980年至1984年他曾是Lion’s Gate Films的大股东、董事长和首席执行官。Gilbert先生是Council on Foreign Relations和世界经济论坛(World Economic Forum)的Global Agenda Council on Capital Flows的一员,是New York University Langone Medical School的受托人,也是Lauder Institute的治理委员会成员。他获得了University of Pennsylvania的Wharton School的学士学位、Harvard Law School的法学博士学位以及Harvard Graduate School of Business的工商管理硕士学位。
Steven J. Gilbert was elected to the Board of Directors in May 2011. He is currently Chairman of the Board of Gilbert Global Equity Partners, L.P., a private equity fund, Vice Chairman of the Executive Board of MidOcean Capital Partners, L.P., a private equity firm, and Chairman of the Board of CPM, Inc., a global provider of process machinery for the feed industry, and has served in these capacities since 1998 2005 and 2000 respectively. He was previously Chairman and Senior Managing Director of SUN Group USA, an investment firm, from 2007 to 2009. Previously, Mr. Gilbert was Managing General Partner of Soros Capital, L. P., Commonwealth Capital Partners, L.P., and Chemical Venture Partners. He also held investment banking positions with Morgan Stanley & Co., Wertheim & Co., Inc. and E.F. Hutton International. Mr. Gilbert was admitted to the Massachusetts Bar in 1970 and practiced law at Goodwin Procter & Hoar in Boston, Massachusetts. Mr. Gilbert is a Director of TRI Point Homes, Inc., Empire State Realty Trust, Inc., and Fairholme Funds, Inc. He is also a member of the Writer's Guild of America (East) and the Council on Foreign Relations, and a Director of the Lauder Institute at the University of Pennsylvania. Within the past five years, Mr. Gilbert served as a Director of several privately held companies. Mr. Gilbert has also served on the boards of more than 25 companies over the span of his career. - Steven J. Gilbert自2013年1月30日起担任TRI Pointe的董事,自1998年起他担任Gilbert Global Equity Partners, L.P。的董事会主席,这是十亿美元价值的私募股权基金。Gilbert先生是MidOcean Equity Partners, LP的副总裁,2007年1月至2012年4月他曾任Stone Tower Capital的副总裁,直到2009年他都是Sun Group USA的高级常务董事兼董事长。1992年至1997年他是Soros Capital L.P。的创始人兼公司董事合伙人,这是Quantum Group of Funds主要的风险投资和杠杆交易实体,同时他也是Quantum Industrial Holdings Ltd的主要顾问。1988年至1992年Gilbert先生是私募股权投资公司Commonwealth Capital Partners, L.P。的常务董事,在此之前,1984年至1988年他担任Chemical Venture Partners (即现在的J. P. Morgan Capital Partners)的公司董事合伙人,该公司由他创立。1970年他成为Massachusetts Bar的一员,在马萨诸塞州波士顿的Goodwin Procter & Hoar从事法律事务。1972年至1976年Gilbert先生担任Morgan Stanley & Co。的公司财务人员,1976年至1978年担任Wertheim & Co., Inc.的副总裁,1978年至1980年担任E. F. Hutton International的常务董事。近期他曾担任过Dura Automotive Systems, Inc.的董事会主席, CPM Holdings、 True Temper Sports的董事长,J. O. Hambro Capital Management Group 和 Asian Infrastructure Fund的董事。Gilbert先生也是Continental Grain的高级顾问以及纽约证券交易所一家上市公司MBIA, Inc.,(NYSE: MBI)的董事,他也是Empire State Realty Trust (NYSE: ESRT)的首席独立董事。之前,Gilbert先生担任过多个公司的董事,包括Monteplier Re、 Olympus Trust、 Office Depot, Inc.、Funk & Wagnalls, Inc.、 Parker Pen Limited、Piggly Wiggly Southern, Inc.、 Coast Community News, Inc.、 GTS-Duratek、 Magnavox Electronic Systems Company、 UroMed Corporation、 Star City Casino Holdings, Ltd.、 Katz Media Corporation、Airport Group International、 Batavia Investment Management, Ltd.、 Affinity Financial Group, Inc.、 ESAT Telecom, Ltd.、 Colep Holding, Ltd.、NFO Worldwide、Terra Nova (Bermuda) Holdings, Limited 和 Veritas-DCG。1980年至1984年他曾是Lion’s Gate Films的大股东、董事长和首席执行官。Gilbert先生是Council on Foreign Relations和世界经济论坛(World Economic Forum)的Global Agenda Council on Capital Flows的一员,是New York University Langone Medical School的受托人,也是Lauder Institute的治理委员会成员。他获得了University of Pennsylvania的Wharton School的学士学位、Harvard Law School的法学博士学位以及Harvard Graduate School of Business的工商管理硕士学位。
- Steven J. Gilbert was elected to the Board of Directors in May 2011. He is currently Chairman of the Board of Gilbert Global Equity Partners, L.P., a private equity fund, Vice Chairman of the Executive Board of MidOcean Capital Partners, L.P., a private equity firm, and Chairman of the Board of CPM, Inc., a global provider of process machinery for the feed industry, and has served in these capacities since 1998 2005 and 2000 respectively. He was previously Chairman and Senior Managing Director of SUN Group USA, an investment firm, from 2007 to 2009. Previously, Mr. Gilbert was Managing General Partner of Soros Capital, L. P., Commonwealth Capital Partners, L.P., and Chemical Venture Partners. He also held investment banking positions with Morgan Stanley & Co., Wertheim & Co., Inc. and E.F. Hutton International. Mr. Gilbert was admitted to the Massachusetts Bar in 1970 and practiced law at Goodwin Procter & Hoar in Boston, Massachusetts. Mr. Gilbert is a Director of TRI Point Homes, Inc., Empire State Realty Trust, Inc., and Fairholme Funds, Inc. He is also a member of the Writer's Guild of America (East) and the Council on Foreign Relations, and a Director of the Lauder Institute at the University of Pennsylvania. Within the past five years, Mr. Gilbert served as a Director of several privately held companies. Mr. Gilbert has also served on the boards of more than 25 companies over the span of his career.
高管简历
中英对照 |  中文 |  英文- Daniel D. Levin
DanielD.Levin是我们的首席财务官。他此前曾担任公司财务主管兼首席产品官,以及企业发展集团的高级成员。在2011年加入Oaktree之前,Levin先生是高盛(Goldman,Sachs&Co.)投资银行部的Vice President,专注于资产管理公司和其他金融机构。
Daniel D. Levin is our Chief Financial Officer. He was previously Head of Corporate Finance and Chief Product Officer and a senior member of the corporate development group. Prior to joining Oaktree in 2011 Mr. Levin was a vice president in the Investment Banking division at Goldman, Sachs & Co., focusing on asset management firms and other financial institutions.- DanielD.Levin是我们的首席财务官。他此前曾担任公司财务主管兼首席产品官,以及企业发展集团的高级成员。在2011年加入Oaktree之前,Levin先生是高盛(Goldman,Sachs&Co.)投资银行部的Vice President,专注于资产管理公司和其他金融机构。
- Daniel D. Levin is our Chief Financial Officer. He was previously Head of Corporate Finance and Chief Product Officer and a senior member of the corporate development group. Prior to joining Oaktree in 2011 Mr. Levin was a vice president in the Investment Banking division at Goldman, Sachs & Co., focusing on asset management firms and other financial institutions.
- Jay S. Wintrob
Jay S. Wintrob, 自2011年9月起出任董事。 自2009年,他一直担任AIG寿险与退休的总裁兼首席执行官,总部设在美国的生活和退休服务美国国际集团「AIG」企业的执行副总裁。从2002年至2009年还担任AIG退休服务的执行副总裁。1999年至2004年,担任AIG的总监。1987年,加入SunAmerica公司作为主席助理,1989年当选高级副总裁,1991年执行副总裁,1995年副主席。 从1994年到2000年,还担任SunAmerica投资公司总裁,负责公司的投资资产组合。在AIG收购SunAmerica之后,1998年~2005年担任AIG退休服务公司副董事长,1998至2001年担任首席运营官,自2000年以来一直担任总裁,自2001年以来一直担任首席执行官。在加入SunAmerica之前, 他任职于美迈斯律师事务所。他在加州大学伯克利分校获得学士学位,并从加州大学伯克利分校的博尔特霍尔法学院获得法学博士学位。他现在是美国寿险公司委员会的董事会成员,和几个非营利组织的董事会成员,包括The Broad Foundations,The J. Paul Getty Trust信托基金和the Skirball文化中心。
Jay S. Wintrob is our Chief Executive Officer and has served as a member of the Board of Directors since September 2011. Prior to joining the firm as Chief Executive Officer, he was President and Chief Executive Officer of AIG Life and Retirement, the U.S.-based life and retirement services segment of American International Group, Inc., from 2009 to 2014. Following AIG’s acquisition of SunAmerica in 1998 Mr. Wintrob was Vice Chairman and Chief Operating Officer of AIG Retirement Services, Inc. from 1998 to 2001 and President and Chief Executive Officer from 2001 to 2009. Mr. Wintrob began his career in financial services in 1987 as Assistant to the Chairman of SunAmerica Inc., and then went on to serve in several other executive positions, including President of SunAmerica Investments, Inc. overseeing the company’s invested asset portfolio. Prior to joining SunAmerica, Mr. Wintrob was with the law firm of O’Melveny & Myers. He received his B.A. and J.D. from the University of California, Berkeley. Mr. Wintrob is a board member of several non-profit organizations, including The Broad Foundations, The Broad Contemporary Art Museum, The Doheny Eye Institute, The Los Angeles Music Center and the Skirball Cultural Center. As our Chief Executive Officer, Mr. Wintrob has broad responsibilities for our business and his service on our board of directors helps ensure that our board is well informed about our operations. Additionally, Mr. Wintrob’s investment and finance expertise and knowledge of our company add value to our board of directors.- Jay S. Wintrob, 自2011年9月起出任董事。 自2009年,他一直担任AIG寿险与退休的总裁兼首席执行官,总部设在美国的生活和退休服务美国国际集团「AIG」企业的执行副总裁。从2002年至2009年还担任AIG退休服务的执行副总裁。1999年至2004年,担任AIG的总监。1987年,加入SunAmerica公司作为主席助理,1989年当选高级副总裁,1991年执行副总裁,1995年副主席。 从1994年到2000年,还担任SunAmerica投资公司总裁,负责公司的投资资产组合。在AIG收购SunAmerica之后,1998年~2005年担任AIG退休服务公司副董事长,1998至2001年担任首席运营官,自2000年以来一直担任总裁,自2001年以来一直担任首席执行官。在加入SunAmerica之前, 他任职于美迈斯律师事务所。他在加州大学伯克利分校获得学士学位,并从加州大学伯克利分校的博尔特霍尔法学院获得法学博士学位。他现在是美国寿险公司委员会的董事会成员,和几个非营利组织的董事会成员,包括The Broad Foundations,The J. Paul Getty Trust信托基金和the Skirball文化中心。
- Jay S. Wintrob is our Chief Executive Officer and has served as a member of the Board of Directors since September 2011. Prior to joining the firm as Chief Executive Officer, he was President and Chief Executive Officer of AIG Life and Retirement, the U.S.-based life and retirement services segment of American International Group, Inc., from 2009 to 2014. Following AIG’s acquisition of SunAmerica in 1998 Mr. Wintrob was Vice Chairman and Chief Operating Officer of AIG Retirement Services, Inc. from 1998 to 2001 and President and Chief Executive Officer from 2001 to 2009. Mr. Wintrob began his career in financial services in 1987 as Assistant to the Chairman of SunAmerica Inc., and then went on to serve in several other executive positions, including President of SunAmerica Investments, Inc. overseeing the company’s invested asset portfolio. Prior to joining SunAmerica, Mr. Wintrob was with the law firm of O’Melveny & Myers. He received his B.A. and J.D. from the University of California, Berkeley. Mr. Wintrob is a board member of several non-profit organizations, including The Broad Foundations, The Broad Contemporary Art Museum, The Doheny Eye Institute, The Los Angeles Music Center and the Skirball Cultural Center. As our Chief Executive Officer, Mr. Wintrob has broad responsibilities for our business and his service on our board of directors helps ensure that our board is well informed about our operations. Additionally, Mr. Wintrob’s investment and finance expertise and knowledge of our company add value to our board of directors.
- Howard S. Marks
Howard S. Marks,从1985年到1995年,Marks先生领导着TCW Group,Inc.负责不良债务、高收益债券和可转换证券投资的团队。他还曾担任TCW国内固定收益首席投资官。此前,Marks先生在Citicorp Investment Management工作了16年,从1978年到1985年,他担任副总裁兼高级投资组合经理,负责可转换和高收益证券。在1969年至1978年期间,他是一名股票研究分析师,随后成为花旗集团的研究总监。Marks先生以优异成绩获得宾夕法尼亚大学沃顿商学院金融专业理学学士学位,并获得芝加哥大学布斯商学院会计和市场营销硕士学位,在那里他获得了乔治·海·布朗奖。他是CFA特许持有人。Marks先生是Edmond J. Safra基金会投资委员会成员、大都会艺术博物馆投资委员会副主席;大都会博物馆受托人;皇家绘画学院董事会主席;宾夕法尼亚大学名誉受托人,2000年至2010年担任投资委员会主席。
Howard S. Marks,From 1985 until 1995 Mr. Marks led the groups at The TCW Group, Inc. that were responsible for investments in distressed debt, high yield bonds, and convertible securities. He was also Chief Investment Officer for Domestic Fixed Income at TCW. Previously, Mr. Marks was with Citicorp Investment Management for 16 years, where from 1978 to 1985 he was Vice President and senior portfolio manager in charge of convertible and high yield securities. Between 1969 and 1978 he was an equity research analyst and, subsequently, Citicorp's Director of Research. Mr. Marks holds a B.S.Ec. degree cum laude from the Wharton School of the University of Pennsylvania with a major in finance and an M.B.A. in accounting and marketing from the Booth School of Business of the University of Chicago, where he received the George Hay Brown Prize. He is a CFA charterholder. Mr. Marks is a member of the Investment Committee of the Edmond J. Safra Foundation, and the Vice Chairman of the Investment Committee of the Metropolitan Museum of Art; a Trustee of the Metropolitan Museum; Chairman of the Board of Trustees of the Royal Drawing School; and an Emeritus Trustee of the University of Pennsylvania where from 2000 to 2010 he chaired the Investment Board.- Howard S. Marks,从1985年到1995年,Marks先生领导着TCW Group,Inc.负责不良债务、高收益债券和可转换证券投资的团队。他还曾担任TCW国内固定收益首席投资官。此前,Marks先生在Citicorp Investment Management工作了16年,从1978年到1985年,他担任副总裁兼高级投资组合经理,负责可转换和高收益证券。在1969年至1978年期间,他是一名股票研究分析师,随后成为花旗集团的研究总监。Marks先生以优异成绩获得宾夕法尼亚大学沃顿商学院金融专业理学学士学位,并获得芝加哥大学布斯商学院会计和市场营销硕士学位,在那里他获得了乔治·海·布朗奖。他是CFA特许持有人。Marks先生是Edmond J. Safra基金会投资委员会成员、大都会艺术博物馆投资委员会副主席;大都会博物馆受托人;皇家绘画学院董事会主席;宾夕法尼亚大学名誉受托人,2000年至2010年担任投资委员会主席。
- Howard S. Marks,From 1985 until 1995 Mr. Marks led the groups at The TCW Group, Inc. that were responsible for investments in distressed debt, high yield bonds, and convertible securities. He was also Chief Investment Officer for Domestic Fixed Income at TCW. Previously, Mr. Marks was with Citicorp Investment Management for 16 years, where from 1978 to 1985 he was Vice President and senior portfolio manager in charge of convertible and high yield securities. Between 1969 and 1978 he was an equity research analyst and, subsequently, Citicorp's Director of Research. Mr. Marks holds a B.S.Ec. degree cum laude from the Wharton School of the University of Pennsylvania with a major in finance and an M.B.A. in accounting and marketing from the Booth School of Business of the University of Chicago, where he received the George Hay Brown Prize. He is a CFA charterholder. Mr. Marks is a member of the Investment Committee of the Edmond J. Safra Foundation, and the Vice Chairman of the Investment Committee of the Metropolitan Museum of Art; a Trustee of the Metropolitan Museum; Chairman of the Board of Trustees of the Royal Drawing School; and an Emeritus Trustee of the University of Pennsylvania where from 2000 to 2010 he chaired the Investment Board.
- Bruce A. Karsh
Bruce A. Karsh,是我们Oaktree Capital Group, Llc的总裁和创始人之一,2007年5月以来一直是董事。他还担任首席投资官,并担任Oaktree的不良机会和价值机会策略部门投资组合经理。任职于Oaktree之前,他是SunAmerica, Inc.董事总经理,并于1988年到1995年担任the Special Credits Funds投资组合经理基金。加入TCW之前,卡他担任SunAmerica,Inc主席助理。在此之前,他是律师事务所O'Melveny & Myers的律师。任职于O'Melveny & Myers之前他是the Honorable Anthony M. Kennedy的职员,后来是the U.S. Court of Appeals for the Ninth Circuit职员,目前是Associate Justice of the U.S. Supreme Court职员。他在杜克大学(Duke University)一优异成绩获得经济学学位,在那里他被选入美国大学优等生荣誉学会(Phi Beta Kappa)。他继续在弗吉尼亚大学法学院(the University of Virginia School of Law)获得法学博士学位,在那里他 the Virginia Law Review的编辑,并是the Order of the Coif的成员。他目前是杜克大学(Duke University)理事会成员,并是杜克大学(Duke University)投资管理子公司DUMAC, LLC.的董事会主席。此外,他目前是Tribune Company和许多私营企业的董事会成员。他在此之前在Charter Communications, Inc.、Furniture Brands International,、KinderCare Learning Centers, Inc.、Littelfuse Inc.担任董事。
Bruce A. Karsh is our Co-Chairman and one of the firm’s co-founders and has been a director since May 2007. He also is Chief Investment Officer and serves as portfolio manager for Oaktree’s Distressed Opportunities, Value Opportunities and Multi-Strategy Credit strategies. Prior to co-founding Oaktree, Mr. Karsh was a managing director of TCW Asset Management Company, and the portfolio manager of the Special Credits Funds from 1988 until 1995. Prior to joining TCW, Mr. Karsh worked as Assistant to the Chairman of SunAmerica, Inc. Prior to that, he was an attorney with the law firm of O’Melveny & Myers. Before working at O’Melveny & Myers, Mr. Karsh clerked for the Honorable Anthony M. Kennedy, then of the U.S. Court of Appeals for the Ninth Circuit and presently Associate Justice of the U.S. Supreme Court. Mr. Karsh holds an A.B. degree in economics summa cum laude from Duke University, where he was elected to Phi Beta Kappa. He went on to earn a J.D. from the University of Virginia School of Law, where he served as Notes Editor of the Virginia Law Review and was a member of the Order of the Coif. Mr. Karsh serves on the boards of a number of privately held companies. He is a member of the investment committee of the Broad Foundations. Mr. Karsh is Trustee Emeritus of Duke University, having served as Trustee from 2003 to 2015 and as Chairman of the Board of DUMAC, LLC, the entity that managed Duke’s endowment, from 2005 to 2014. He previously served on the boards of Charter Communications, Inc.; Furniture Brands International; KinderCare Learning Centers, Inc.; and Littelfuse Inc. Mr. Karsh is highly respected as one of the leading portfolio managers in the area of distressed debt investing, one of our flagship investment strategies. Additionally, Mr. Karsh’s extensive leadership and management skills and his current and past service on boards of other public companies add value to our board of directors.- Bruce A. Karsh,是我们Oaktree Capital Group, Llc的总裁和创始人之一,2007年5月以来一直是董事。他还担任首席投资官,并担任Oaktree的不良机会和价值机会策略部门投资组合经理。任职于Oaktree之前,他是SunAmerica, Inc.董事总经理,并于1988年到1995年担任the Special Credits Funds投资组合经理基金。加入TCW之前,卡他担任SunAmerica,Inc主席助理。在此之前,他是律师事务所O'Melveny & Myers的律师。任职于O'Melveny & Myers之前他是the Honorable Anthony M. Kennedy的职员,后来是the U.S. Court of Appeals for the Ninth Circuit职员,目前是Associate Justice of the U.S. Supreme Court职员。他在杜克大学(Duke University)一优异成绩获得经济学学位,在那里他被选入美国大学优等生荣誉学会(Phi Beta Kappa)。他继续在弗吉尼亚大学法学院(the University of Virginia School of Law)获得法学博士学位,在那里他 the Virginia Law Review的编辑,并是the Order of the Coif的成员。他目前是杜克大学(Duke University)理事会成员,并是杜克大学(Duke University)投资管理子公司DUMAC, LLC.的董事会主席。此外,他目前是Tribune Company和许多私营企业的董事会成员。他在此之前在Charter Communications, Inc.、Furniture Brands International,、KinderCare Learning Centers, Inc.、Littelfuse Inc.担任董事。
- Bruce A. Karsh is our Co-Chairman and one of the firm’s co-founders and has been a director since May 2007. He also is Chief Investment Officer and serves as portfolio manager for Oaktree’s Distressed Opportunities, Value Opportunities and Multi-Strategy Credit strategies. Prior to co-founding Oaktree, Mr. Karsh was a managing director of TCW Asset Management Company, and the portfolio manager of the Special Credits Funds from 1988 until 1995. Prior to joining TCW, Mr. Karsh worked as Assistant to the Chairman of SunAmerica, Inc. Prior to that, he was an attorney with the law firm of O’Melveny & Myers. Before working at O’Melveny & Myers, Mr. Karsh clerked for the Honorable Anthony M. Kennedy, then of the U.S. Court of Appeals for the Ninth Circuit and presently Associate Justice of the U.S. Supreme Court. Mr. Karsh holds an A.B. degree in economics summa cum laude from Duke University, where he was elected to Phi Beta Kappa. He went on to earn a J.D. from the University of Virginia School of Law, where he served as Notes Editor of the Virginia Law Review and was a member of the Order of the Coif. Mr. Karsh serves on the boards of a number of privately held companies. He is a member of the investment committee of the Broad Foundations. Mr. Karsh is Trustee Emeritus of Duke University, having served as Trustee from 2003 to 2015 and as Chairman of the Board of DUMAC, LLC, the entity that managed Duke’s endowment, from 2005 to 2014. He previously served on the boards of Charter Communications, Inc.; Furniture Brands International; KinderCare Learning Centers, Inc.; and Littelfuse Inc. Mr. Karsh is highly respected as one of the leading portfolio managers in the area of distressed debt investing, one of our flagship investment strategies. Additionally, Mr. Karsh’s extensive leadership and management skills and his current and past service on boards of other public companies add value to our board of directors.
- John B. Frank
John B. Frank,是Oaktree的首要执行官,并于Messrs. Marks 和 Karsh在管理公司过程中紧密合作。2001年到2006年初,他担任公司的法律总顾问。在2001年加入Messrs. Marks and Karsh之前,他是洛杉矶律师事务所Munger, Tolles & Olson LLP的合伙人。在这家公司,他在许多著名的并购交易中担任首席律师,并担任公共和私营公司的主要外部法律顾问,并在各种董事会和及其专门委员会担任特别法律顾问。在1984年加入Munger Tolles之前,他担任美国第一巡回上诉法院(the United States Court of Appeals for the First Circuit)the Honorable Frank M. Coffin的法律助理。在法学院学习之前,他担任国会议员(Member of Congress)the Honorable Robert F. Drinan的立法助理。他在卫斯理大学(Wesleyan University )以优异成绩获得历史学学士学位。并在密歇根大学(the University of Michigan Law School)以优等生身份获得法学博士,在这里,他担任the Michigan Law Review的主编,并是the Order of the Coif的成员。他是the State Bar of California的成员,在私人开业中,被列入美国Woodward & White's 最好律师(Woodward & White's Best Lawyers in America)。弗兰克是卫斯理大学(Wesleyan University)、理工学院(Polytechnic School)和洛杉矶Good Samaritan Hospital 的受托人。
John B. Frank is our Vice Chairman and works closely with Messrs. Marks, Karsh and Wintrob in managing the firm. He has been a director since May 2007. Mr. Frank joined in 2001 as General Counsel and was named Oaktree’s Managing Principal in early 2006 a position which he held for about nine years. As Managing Principal, Mr. Frank was the firm’s principal executive officer and responsible for all aspects of the firm’s management. Prior thereto, Mr. Frank was a partner of the Los Angeles law firm of Munger, Tolles & Olson LLP, where he managed a number of notable merger and acquisition transactions. While at that firm, he served as primary outside counsel to a number of public and privately held corporations, and as special counsel to various boards of directors and special board committees. Prior to joining Munger Tolles in 1984 Mr. Frank served as a law clerk to the Honorable Frank M. Coffin of the United States Court of Appeals for the First Circuit. Prior to attending law school, Mr. Frank served as a Legislative Assistant to the Honorable Robert F. Drinan, Member of Congress. Mr. Frank holds a B.A. degree with honors in history from Wesleyan University and a J.D. magna cum laude from the University of Michigan Law School, where he was Managing Editor of the Michigan Law Review and a member of the Order of the Coif. He is a member of the State Bar of California and, while in private practice, was listed in Woodward & White’s Best Lawyers in America. Mr. Frank is a member of the Board of Directors of Chevron Corporation and a Trustee of Wesleyan University, Polytechnic School, Good Samaritan Hospital of Los Angeles and the XPRIZE Foundation. Mr. Frank’s legal background and knowledge of our company add value to our board of directors.- John B. Frank,是Oaktree的首要执行官,并于Messrs. Marks 和 Karsh在管理公司过程中紧密合作。2001年到2006年初,他担任公司的法律总顾问。在2001年加入Messrs. Marks and Karsh之前,他是洛杉矶律师事务所Munger, Tolles & Olson LLP的合伙人。在这家公司,他在许多著名的并购交易中担任首席律师,并担任公共和私营公司的主要外部法律顾问,并在各种董事会和及其专门委员会担任特别法律顾问。在1984年加入Munger Tolles之前,他担任美国第一巡回上诉法院(the United States Court of Appeals for the First Circuit)the Honorable Frank M. Coffin的法律助理。在法学院学习之前,他担任国会议员(Member of Congress)the Honorable Robert F. Drinan的立法助理。他在卫斯理大学(Wesleyan University )以优异成绩获得历史学学士学位。并在密歇根大学(the University of Michigan Law School)以优等生身份获得法学博士,在这里,他担任the Michigan Law Review的主编,并是the Order of the Coif的成员。他是the State Bar of California的成员,在私人开业中,被列入美国Woodward & White's 最好律师(Woodward & White's Best Lawyers in America)。弗兰克是卫斯理大学(Wesleyan University)、理工学院(Polytechnic School)和洛杉矶Good Samaritan Hospital 的受托人。
- John B. Frank is our Vice Chairman and works closely with Messrs. Marks, Karsh and Wintrob in managing the firm. He has been a director since May 2007. Mr. Frank joined in 2001 as General Counsel and was named Oaktree’s Managing Principal in early 2006 a position which he held for about nine years. As Managing Principal, Mr. Frank was the firm’s principal executive officer and responsible for all aspects of the firm’s management. Prior thereto, Mr. Frank was a partner of the Los Angeles law firm of Munger, Tolles & Olson LLP, where he managed a number of notable merger and acquisition transactions. While at that firm, he served as primary outside counsel to a number of public and privately held corporations, and as special counsel to various boards of directors and special board committees. Prior to joining Munger Tolles in 1984 Mr. Frank served as a law clerk to the Honorable Frank M. Coffin of the United States Court of Appeals for the First Circuit. Prior to attending law school, Mr. Frank served as a Legislative Assistant to the Honorable Robert F. Drinan, Member of Congress. Mr. Frank holds a B.A. degree with honors in history from Wesleyan University and a J.D. magna cum laude from the University of Michigan Law School, where he was Managing Editor of the Michigan Law Review and a member of the Order of the Coif. He is a member of the State Bar of California and, while in private practice, was listed in Woodward & White’s Best Lawyers in America. Mr. Frank is a member of the Board of Directors of Chevron Corporation and a Trustee of Wesleyan University, Polytechnic School, Good Samaritan Hospital of Los Angeles and the XPRIZE Foundation. Mr. Frank’s legal background and knowledge of our company add value to our board of directors.
- Sheldon M. Stone
Sheldon M. Stone,负责人和联合创始人,2007年5月以来担任董事。 他担任Oaktree美国高收益债券策略的投资组合经理,并担任其全球高收益债券策略联席投资组合经理。此外,他还负责监管Oaktree欧洲高收益债券策略。他创建了TCW 的高收益债券部门,于1985年加入并运行该部门十年。加入TCW之前,他在Citibank工作了两年,在这里他从事信用分析和管理高收益债券投资组合。他于1978年到1983年在The Prudential Insurance Company工作,在这里他担任公司财务主管,管理超过10亿美元的固定收益投资组合。他在鲍登学院获得学士学位,在哥伦比亚大学获得会计和金融工商管理硕士学位。他担任Colonial Williamsburg Foundation 和鲍登学院(Bowdoin College)的理事会成员。
Sheldon M. Stone is a Principal and a co-founder and has been a director since May 2007. Mr. Stone is the head of Oaktree's high yield bond area. In this capacity, he serves as co-portfolio manager of Oaktree's U.S. High Yield Bond and Global High Yield Bond strategies and has supervisory responsibility for European High Yield Bonds. Mr. Stone, a co-founding member of Oaktree in 1995 established TCW's High Yield Bond department with Mr. Marks in 1985 and ran the department for ten years. Prior to joining TCW, Mr. Stone worked with Mr. Marks at Citibank for two years where he performed credit analysis and managed high yield bond portfolios. From 1978 to 1983 Mr. Stone worked at The Prudential Insurance Company where he was a director of corporate finance, managing a fixed income portfolio exceeding $1 billion. Mr. Stone holds a B.A. degree from Bowdoin College and an M.B.A. in accounting and finance from Columbia University. Mr. Stone serves as a Trustee of Colonial Williamsburg Foundation and serves on the investment committee of Bowdoin College.- Sheldon M. Stone,负责人和联合创始人,2007年5月以来担任董事。 他担任Oaktree美国高收益债券策略的投资组合经理,并担任其全球高收益债券策略联席投资组合经理。此外,他还负责监管Oaktree欧洲高收益债券策略。他创建了TCW 的高收益债券部门,于1985年加入并运行该部门十年。加入TCW之前,他在Citibank工作了两年,在这里他从事信用分析和管理高收益债券投资组合。他于1978年到1983年在The Prudential Insurance Company工作,在这里他担任公司财务主管,管理超过10亿美元的固定收益投资组合。他在鲍登学院获得学士学位,在哥伦比亚大学获得会计和金融工商管理硕士学位。他担任Colonial Williamsburg Foundation 和鲍登学院(Bowdoin College)的理事会成员。
- Sheldon M. Stone is a Principal and a co-founder and has been a director since May 2007. Mr. Stone is the head of Oaktree's high yield bond area. In this capacity, he serves as co-portfolio manager of Oaktree's U.S. High Yield Bond and Global High Yield Bond strategies and has supervisory responsibility for European High Yield Bonds. Mr. Stone, a co-founding member of Oaktree in 1995 established TCW's High Yield Bond department with Mr. Marks in 1985 and ran the department for ten years. Prior to joining TCW, Mr. Stone worked with Mr. Marks at Citibank for two years where he performed credit analysis and managed high yield bond portfolios. From 1978 to 1983 Mr. Stone worked at The Prudential Insurance Company where he was a director of corporate finance, managing a fixed income portfolio exceeding $1 billion. Mr. Stone holds a B.A. degree from Bowdoin College and an M.B.A. in accounting and finance from Columbia University. Mr. Stone serves as a Trustee of Colonial Williamsburg Foundation and serves on the investment committee of Bowdoin College.
- Todd E. Molz
Todd E. Molz,是我们Oaktree Capital Group, Llc的总法律顾问和董事总经理。Molz先生负责我们公司所有方面法律事务的管理,包括基金形成、收购和其他特殊项目。2006年加入Oaktree之前,Molz先生是洛杉矶律师事务所Munger, Tolles & Olson LLP的合伙人,他的业务主要集中在税收和结构方面的复杂而新颖的商业交易。加入Munger Tolles之前,Molz先生担任美国第九巡回上诉法院(the United States Court of Appeals for the Ninth Circuit)Alfred T. Goodwin法官的助理。Molz先生在明德学院(Middlebury College)以优等成绩获得政治学学士学位,在芝加哥大学获得法学博士学位。在芝加哥,Molz先生曾担任法律评论员,获得了the John M. Olin Student奖学金,并是the Order of the Coif的成员。Molz先生担任洛杉矶儿童医院(the Children's Hospital of Los Angeles)理事会成员。
Todd E. Molz is our General Counsel and Chief Administrative Officer. He oversees the Compliance, Internal Audit and Administration functions and all aspects of our legal activities, including fund formation, acquisitions and other special projects. Prior to joining the firm in 2006 Mr. Molz was a partner of the Los Angeles law firm of Munger, Tolles & Olson LLP, where his practice focused on tax and structuring aspects of complex and novel business transactions. Prior to joining Munger Tolles, Mr. Molz served as a law clerk to the Honorable Alfred T. Goodwin of the United States Court of Appeals for the Ninth Circuit. Mr. Molz received a B.A. degree in political science cum laude from Middlebury College and a J.D. degree with honors from the University of Chicago. While at Chicago, Mr. Molz served on the Law Review, received the John M. Olin Student Fellowship and was a member of the Order of the Coif. Mr. Molz serves on the Board of Trustees of the Children’s Hospital of Los Angeles.- Todd E. Molz,是我们Oaktree Capital Group, Llc的总法律顾问和董事总经理。Molz先生负责我们公司所有方面法律事务的管理,包括基金形成、收购和其他特殊项目。2006年加入Oaktree之前,Molz先生是洛杉矶律师事务所Munger, Tolles & Olson LLP的合伙人,他的业务主要集中在税收和结构方面的复杂而新颖的商业交易。加入Munger Tolles之前,Molz先生担任美国第九巡回上诉法院(the United States Court of Appeals for the Ninth Circuit)Alfred T. Goodwin法官的助理。Molz先生在明德学院(Middlebury College)以优等成绩获得政治学学士学位,在芝加哥大学获得法学博士学位。在芝加哥,Molz先生曾担任法律评论员,获得了the John M. Olin Student奖学金,并是the Order of the Coif的成员。Molz先生担任洛杉矶儿童医院(the Children's Hospital of Los Angeles)理事会成员。
- Todd E. Molz is our General Counsel and Chief Administrative Officer. He oversees the Compliance, Internal Audit and Administration functions and all aspects of our legal activities, including fund formation, acquisitions and other special projects. Prior to joining the firm in 2006 Mr. Molz was a partner of the Los Angeles law firm of Munger, Tolles & Olson LLP, where his practice focused on tax and structuring aspects of complex and novel business transactions. Prior to joining Munger Tolles, Mr. Molz served as a law clerk to the Honorable Alfred T. Goodwin of the United States Court of Appeals for the Ninth Circuit. Mr. Molz received a B.A. degree in political science cum laude from Middlebury College and a J.D. degree with honors from the University of Chicago. While at Chicago, Mr. Molz served on the Law Review, received the John M. Olin Student Fellowship and was a member of the Order of the Coif. Mr. Molz serves on the Board of Trustees of the Children’s Hospital of Los Angeles.
- Susan Gentile
Susan Gentile,是我们Oaktree Capital Group, Llc的首席财务官和董事总经理。她于2013年9月加入Clorox Company公司,在这里她新近担任财务总监和首席财务官,于2006年3月至2013年9月任职于该职位。此外,她在Levi Strauss & Co。、 Motorola, Inc.、Next Level Communications, Inc.中担任会计、内部控制和财务报告等职位。她在Deloitte & Touche LLP。开始了她的职业生涯。她在波士顿大学管理学院(Boston University, School of Management)获得金融理学学士学士和文学学士学位从的。她是一个注册会计师。
Susan Gentile has served as a member of our board of directors since May 2021 effective upon the effectiveness of the registration statement of which this prospectus forms a part. Ms. Gentile is the Chief Financial and Administrative Officer at H.I.G. Capital Management, LLC. Prior to joining H.I.G. Capital Management in May 2018 Ms. Gentile served as Managing Director and Chief Accounting Officer at Oaktree Capital Management, a global alternative investment firm, from October 2013 to March 2018. Ms. Gentile also held various management roles at The Clorox Company from March 2006 to September 2013. Prior to joining The Clorox Company, Ms. Gentile served in roles at Levi Strauss & Co., Motorola, Inc. and Deloitte & Touche LLP. Ms. Gentile holds a B.S.B.A. in Finance from Boston University and is a Certified Public Accountant.- Susan Gentile,是我们Oaktree Capital Group, Llc的首席财务官和董事总经理。她于2013年9月加入Clorox Company公司,在这里她新近担任财务总监和首席财务官,于2006年3月至2013年9月任职于该职位。此外,她在Levi Strauss & Co。、 Motorola, Inc.、Next Level Communications, Inc.中担任会计、内部控制和财务报告等职位。她在Deloitte & Touche LLP。开始了她的职业生涯。她在波士顿大学管理学院(Boston University, School of Management)获得金融理学学士学士和文学学士学位从的。她是一个注册会计师。
- Susan Gentile has served as a member of our board of directors since May 2021 effective upon the effectiveness of the registration statement of which this prospectus forms a part. Ms. Gentile is the Chief Financial and Administrative Officer at H.I.G. Capital Management, LLC. Prior to joining H.I.G. Capital Management in May 2018 Ms. Gentile served as Managing Director and Chief Accounting Officer at Oaktree Capital Management, a global alternative investment firm, from October 2013 to March 2018. Ms. Gentile also held various management roles at The Clorox Company from March 2006 to September 2013. Prior to joining The Clorox Company, Ms. Gentile served in roles at Levi Strauss & Co., Motorola, Inc. and Deloitte & Touche LLP. Ms. Gentile holds a B.S.B.A. in Finance from Boston University and is a Certified Public Accountant.