About Us

Mark Sinni

Portfolio Manager

Mark Sinni has been with the Fund since April 2013. He is involved in manager selection and portfolio management across multiple asset classes including private equity, fixed income, and hedge funds.

Prior to joining the Fund, Mark spent over three years at the Tulane University Investment Management Office as an analyst then associate. He has experience in manager selection and risk management across asset classes including fixed income, public equities, private equity, real assets and multiple hedge fund strategies.

Mark earned a BS in cell and molecular biology, cum laude, from Tulane University as well an MBA from Tulane University’s Freeman School of Business. Mark is a CFA charterholder.

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