Bond Trading Expert Witnesses

Bond trading expert witnesses and consultants listed here may be able to form expert opinions, draft expert witness reports, provide expert witness testimony at deposition and/or trial as or serve as consulting (non-testifying) experts on bond trading. The bond trading expert witness listings on this page are typically from fields/areas of expertise such as: Financial, Insurance, and Securities & Investments.

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David C. Hinman, CFA

Bond / Loan Asset Management, Trading & Valuation

Hinman Capital Services LLC (HCS)

Corona del Mar, California
Financial, Securities & Investments - Investment Management, Bond Trading, Private Credit, Emerging Market Debt, High Yield Bonds, CLOs, Hedge Funds, Closed-End Funds, Fund NAV, Credit Derivatives/CDS, Benchmarks, Prospectus Disclosure, Bond Defaults / Restructurings, GIPS, Bank Loans, Structured Products, 144a/Reg S, Bond Pricing, Investment Composites, Investment Strategy
David Hinman, CFA has 27 years of finance experience and 23 years of fixed income asset management experience, including 10 years at PIMCO. In his career, he has managed CLOs, hedge funds, and closed- and open-ended mutual funds. His expertise includes analyzing, trading, and managing portfolios of credit derivatives, investment grade and high yield corporate bonds, bank loans, emerging market debt (EMD), and structured credit. As an investor, he has also participated in numerous corporate bankruptcies and debt restructurings and served on creditor workout committees. He co-founded and sold a SEC registered investment advisor, which focused on investing in EMD, where he served as Chief Investment Officer. He has expertise regarding hedge and mutual fund disclosures, documentation, and regulations. He has detailed familiarity with bond offering documents, typical disclosures, as well as bond investor expectations regarding information provided by both issuers and underwriters. ...
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Mace Barry Tamse, J.D.,CFP,AAMS,CMFC,CLTC

Financial Suitability

Sole Proprietor

Highland Beach, Florida
Securities & Investments, Insurance - Stock Trading, Annuities, Life Insurance, Option trading, Financial planning, Suitability, Bond Trading, Structured Products, Tax Harvesting, Mutual Funds, Long Term Care, Stop loss orders
I worked for E.F. Hutton for 2.5 years as an investment advisor Prudential Bache for 9.5 years as an investment advisor Dean Witter/Morgan Staney for 21 years as an investment advisor, ASSISTANT Manager, and office Mutual Fund , Money Manager, Insurance coordinator Ameriprise Financial for 11 years In the Circle of Excellence. I have Taught at High School and College Financial Subjects Part of my services for my clients have not only been investing for them but also advising them on Estate Planning, Tax Planning and Insurance needs More Degrees Include: Doctorate of Law, Bachelor of Law , Masters in Finance, Behavioral Finance ,Bachelor of Arts. Past licenses include: Series 7, Series 10, Series 3, Series 63, Series 65, Mortgage Broker license, Real Estate license
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David C. Hinman, CFA

Bond / Loan Asset Management, Trading & Valuation

Hinman Capital Services LLC (HCS)

New York
Financial, Securities & Investments - Investment Management, Bond Trading, Private Credit, Emerging Market Debt, High Yield Bonds, CLOs, Hedge Funds, Closed-End Funds, Fund NAV, Credit Derivatives/CDS, Benchmarks, Prospectus Disclosure, Bond Defaults / Restructurings, GIPS, Bank Loans, Structured Products, 144a/Reg S, Bond Pricing, Investment Composites, Investment Strategy
David Hinman, CFA has 27 years of finance experience and 23 years of fixed income asset management experience, including 10 years at PIMCO. In his career, he has managed CLOs, hedge funds, and closed- and open-ended mutual funds. His expertise includes analyzing, trading, and managing portfolios of credit derivatives, investment grade and high yield corporate bonds, bank loans, emerging market debt (EMD), and structured credit. As an investor, he has also participated in numerous corporate bankruptcies and debt restructurings and served on creditor workout committees. He co-founded and sold a SEC registered investment advisor, which focused on investing in EMD, where he served as Chief Investment Officer. He has expertise regarding hedge and mutual fund disclosures, documentation, and regulations. He has detailed familiarity with bond offering documents, typical disclosures, as well as bond investor expectations regarding information provided by both issuers and underwriters. ...