Mark Richardson, D.Phil.

Mark Richardson is a Portfolio Manager on the Diversified Alternatives Team at Janus Henderson Investors. He joined Henderson in 2015, prior to which he was an equity derivatives strategist at Deutsche Bank. Before this, Mark worked in academia. He focuses on the research, design, and implementation of a number of the desk’s quantitative investment strategies.
Mark has a BSc degree in mathematics from Imperial College London and an MSc in mathematical modelling and scientific computing and a DPhil in numerical analysis, both from the University of Oxford. He has 10 years of financial industry experience.
Products Managed
Articles Written

The Alternative View: Brexit, in the market’s opinion
​In this series of views from Henderson’s Multi-Strategy team, Fund Managers Steve Cain, Mark Richardson and Aneet Chachra examine the extent to which ‘Brexit’ is priced into currency options and betting markets.