Profile
Mr. Henry Voskoboynik is Managing Director & Portfolio Manager at Fore Research & Management LP.
He joined the firm in April 2014.
Mr. Voskoboynik was previously employed as Senior Vice President by CRT Capital Group LLC.
He received his BA in Economics from the University of Chicago.
Former positions of Henry Voskoboynik
| Companies | Position | End |
|---|---|---|
CRT Capital Group LLC
CRT Capital Group LLC Investment Banks/BrokersFinance Provides brokerage services | Analyst-Equity | 2010-06-29 |
Fore Research & Management LP
Fore Research & Management LP Investment ManagersFinance Fore Research & Management focus primarily on credit long/short investments with an emphasis on event driven opportunities. The firm's approach is based on bottom-up fundamental research of individual credits including companies, sovereigns and structured products, all considered within the context of the global macroeconomic environment. Fore Research employs highly liquid instruments while paying close attention to changing market technicals. Fore Research's investment products and strategies include a multi-strategy approach, a Japanese credit strategy and a collateralized loan strategy. Their investment strategies include long and/or short corporate credit, high yield and investment grade trading, event driven credit/equities, convertible arbitrage, long/short equity, distressed security, private claims, and special situation investing, leverage loan investing, risk/merger arbitrage, commodities, opportunistic trading and various macro-themed trades. Investments include a wide range of asset classes, regions, sectors and markets, including common stocks, preferred stocks, warrants, secured and unsecured debt, bank debt, subordinated bonds, investment grade and non-investment grade corporate bonds (including private placements), municipal securities, US Government and agency securities, convertible securities (including stocks and convertible corporate bonds), REITs, structured instruments, ETFs, ETNs, derivatives, swaps (asset swaps and credit default swaps including swaps referencing corporate and sovereign debt), rights issued by businesses in capital raising activities, futures, forward contracts, foreign currencies, money market obligations, commodities and their over-the-counter counterparts. Strategies may also involve investments in CLOs or securitization vehicles, ABS and loans and other interests of companies including private loans. | Portfolio Manager-Fixed Income | - |
Training of Henry Voskoboynik
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 3 |
|---|---|
Fore Research & Management LP
Fore Research & Management LP Investment ManagersFinance Fore Research & Management focus primarily on credit long/short investments with an emphasis on event driven opportunities. The firm's approach is based on bottom-up fundamental research of individual credits including companies, sovereigns and structured products, all considered within the context of the global macroeconomic environment. Fore Research employs highly liquid instruments while paying close attention to changing market technicals. Fore Research's investment products and strategies include a multi-strategy approach, a Japanese credit strategy and a collateralized loan strategy. Their investment strategies include long and/or short corporate credit, high yield and investment grade trading, event driven credit/equities, convertible arbitrage, long/short equity, distressed security, private claims, and special situation investing, leverage loan investing, risk/merger arbitrage, commodities, opportunistic trading and various macro-themed trades. Investments include a wide range of asset classes, regions, sectors and markets, including common stocks, preferred stocks, warrants, secured and unsecured debt, bank debt, subordinated bonds, investment grade and non-investment grade corporate bonds (including private placements), municipal securities, US Government and agency securities, convertible securities (including stocks and convertible corporate bonds), REITs, structured instruments, ETFs, ETNs, derivatives, swaps (asset swaps and credit default swaps including swaps referencing corporate and sovereign debt), rights issued by businesses in capital raising activities, futures, forward contracts, foreign currencies, money market obligations, commodities and their over-the-counter counterparts. Strategies may also involve investments in CLOs or securitization vehicles, ABS and loans and other interests of companies including private loans. | Finance |
CRT Capital Group LLC
CRT Capital Group LLC Investment Banks/BrokersFinance Provides brokerage services | Finance |
The University of Chicago Booth School of Business
The University of Chicago Booth School of Business Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
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