Bio
Mr. Shakhshir is responsible for underwriting analysis on prospective acquisitions and investment strategy. Previously, his experience spanned over 25 years of accomplishments in mortgage capital markets, fixed income, consulting and investor relations. Most recently, he was a SVP with Bank of America / Countrywide Home Loans responsible for Investor Relations around collateralization and performance for legacy RMBS. Prior to that, he worked for a boutique consulting firm, Quantitative Risk Management, with emphasis on Fixed Income/MBS risk modeling and hedging techniques working with the largest banks and mortgage originators in the US.
Mr. Shakhshir’s education and certification credentials include a Master’s of Science degree in Financial Engineering from Illinois Institute of Technology and a Bachelor’s of Science degree in Finance from California State University. He is a CFA Level 1 candidate and also holds the Financial Risk Manager certification via the Global Association of Risk Professionals.
Areas of Interest
- Deal Type
- Acquisition, Development, Ground Lease, Loan Purchase, Opportunity Zone, Partner Buyout, Pre-Development, Recapitalization, Refinance, Rehabilitation