Marc Lasry
Sonia Gardner
U.S. Strategy
Jane Castle
Shawn Foley
Matthew Kimble
Randal Klein
Europe Strategy
Richard Furst
Jonathan Ford
Asia Strategy
Anil Gorthy
Real Estate Strategy
Ed Gellert
Robert Gellert
Private Equity Strategy
Stephen Trevor
Performing Loans Strategy
William Maier
Patric Lager
Public Fund Strategy
Jeff Gary
Accounting,Risk AND IT/Systems
Thomas Larkin
Richard Cocozza
Nish Kolonne
Legal and Compliance
Todd Greenbarg
Eric Ross
Business Development
Cherie Alcoff
Julie Baumann
John Larkin
Randy Takian
Alexander Wolfman


Jeff Gary , Senior Portfolio Manager - Public Fund Strategy

Mr. Gary is the Senior Portfolio Manager responsible for directing the investment activities of the Public Fund Strategy, which includes the Avenue Credit Strategies Open-End Fund and the Avenue Income Credit Strategies Closed-End Fund. Prior to joining Avenue in 2012, Mr. Gary was a Portfolio Manager at Third Avenue Management LLC.  Prior to that, Mr. Gary was a Portfolio Manager at Black Rock Financial, which he joined in 2003,and was head of the high-yield and distressed investment team which managed approximately $17 billion in assets in various mutual funds and institutional accounts. Prior to that, he was a senior high yield and distressed Portfolio Manager at AIG/American General and Koch Industries. Prior to that, Mr. Gary was a distressed analyst at Cargill Financial; Vice President of Corporate Finance responsible for restructuring and workouts at Mesirow Financial; and a senior analyst at Citigroup. He began his career as an auditor at PricewaterhouseCoopers.

Mr. Gary received a B.S. in Accounting from Penn State University (1984) and an M.B.A. from Northwestern University’s Kellogg School of Management (1991).