Michel A Del Buono
About
Michel A Del Buono is from San Francisco Bay Area. Michel is currently Chief Investment Officer at Andreessen Horowitz, located in Menlo Park, CA. In Michel's previous role as a Chief Investment Officer at Jordan Park Group, Michel worked in until Jul 2022. Prior to joining Jordan Park Group, Michel was a Managing Director at Makena Capital and held the position of Managing Director at Menlo Park, California. Prior to that, Michel was a Lead Economics Instructor, Educational Program for Gifted Youth at Stanford University from Sep 2007 to Jun 2010. Michel started working as Senior & Sole Securities Analyst at Scion Capital, LLC in Jul 2004. From Jan 2000 to Jan 2004, Michel was Engagement Manager at McKinsey. Prior to that, Michel was a Portfolio risk management at Pacificorp Power (trading group) from Jun 1999 to Sep 1999. Michel started working as Analyst & Trader at Glenbrook Asset Management in Aug 1994.
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Michel A Del Buono's current jobs
Michel A Del Buono's past jobs
Leading an institutional caliber investing platform with 20 senior investment professionals managing approximately $16B in discretionary assets. We modified the endowment approach to reflect the changing landscape of investment instruments available to sophisticated investors in order to best manage capital for long term investors. We invest across all asset classes from Private Equity to Real Assets to listed equity and fixed income.
Co-head of asset allocation, head of portfolio investment strategy, head of direct investments
Taught an undergraduate level microeconomics course with emphasis on Finance
Thematic, multi-strategy value-based hedge fund with global asset coverage. Annualized returns of approximately 22% over life of fund.
Private Equity Practice - Private equity diligence for over $1B of completed transactions - Projects included identification of targets, valuation and execution of transactions, post acquisition "100 day" plan and implementation thereof
Trading desk quant. Developed Value at Risk system, portfolio variance-covariance forecasts, and trained analysts on understanding and implementing portfolio management and risk management tools.
Fixed income hedge fund, including distressed credit and workout situations.