ABOUT
SEQUOIA
SEQUOIA'S
OBJECTIVE
COMPETITIVE
ADVANTAGE
INFRASTRUCTURE
DEBT FUNDS

SEQUOIA INVESTMENT MANAGEMENT COMPANY

 
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Dolf Kohnhorst
Chief Risk Officer

Dolf Kohnhorst is a Director and Chief Risk Officer at Sequoia Investment Management Company. He has primary responsibility for the risk management and compliance of Sequoia's infrastructure debt funds. He has 34 years’ experience in investment banking, debt capital markets and lending in the shipping, construction and project finance sectors.

Most recently, Mr Kohnhorst was with Societe Generale, where he was responsible for the Financial Institutions Investment Banking Group covering UK, Irish, BeNeLux and Scandinavian banks, insurance companies and investment management companies. In this role he worked on specific risk transfer transactions in the infrastructure debt markets. He spent 16 years at Morgan Stanley & Co. in London as a fixed income salesman heading up the BeNeLux and Scandinavian sales teams and in the Debt Capital Markets Financial Institutions Structured Solutions Group. Mr Kohnhorst is also the former Head of Structured Solutions in the Financial Institutions Investment Banking group at Nomura International. His focus in both these roles included the transfer of loan assets (infrastructure, real estate, trade and leveraged finance) into the capital markets. Mr Kohnhorst started his career as a project finance and shipping banker at Continental Illinois.

Chief Risk Officer

Mr Kohnhorst holds an MA in French Literature from Pembroke College, University of Oxford. He is a member of Sequoia's Investment Committee. 

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Sequoia Investment Management Company specializes in infrastructure debt and structured finance asset management

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