Andrew Maslan

Portfolio Manager

Andrew Maslan is a portfolio manager and distressed research team leader responsible for identifying new investment opportunities and providing insight and research on global stressed, distressed and special situation securities. Prior to his current role, Andrew was a director at M&G Investments leading their US distressed efforts as well as covering various high yield sectors. Before that, he spent 5 years at Aegon Asset Management on the distressed debt research team and served as a portfolio manager. Andrew also worked as an open outcry and electronic commodity derivatives trader for WH Trading. He has been in the industry since 2011 and rejoined with the firm in 2024. Andrew received his BA from Amherst College, his MBA from the Kellogg School of Management at Northwestern University and his JD from the Northwestern University School of Law.