Mark Mitchell


Director, Portfolio Manager - Credit
Daintree Capital

Mark Mitchell established Daintree Capital in January 2017 and has over twenty years industry experience both in Australia and the USA, specialising in fixed income securities analysis and portfolio management. Prior to establishing Daintree Capital, Mark was the Head of Credit and Portfolio Manager for over seven years at Kapstream Capital. There, he was ultimately responsible for the development and implementation of the credit research processes and portfolio management until the time he left in October 2015. Over this time, Kapstream grew to over $10bn in assets under management. Prior to his time at Kapstream, Mark was a Portfolio Manager/Senior Credit Analyst specialising in global credit securities at Colonial First State Global Asset Management between March 2001 and September 2008. Before moving to Australia, Mark achieved nearly a decade’s work experience in the USA across a range sectors including high yield, bank loans, commodities, futures and listed equities. Mark holds a Bachelor of Science (Finance) from the DePaul University (Chicago) and is a CFA Charterholder.


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Boosting income & reducing your portfolio risk with bonds

Mark Mitchell

Bonds are an income-producing asset which can play several important roles in diversified portfolios. When an investor buys a bond, they are effectively lending money to the bond issuer. In return, the bond holder receives regular interest payments during the term, or life, of the bond. When the bond matures,... Show More

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