Jonathan Barzideh
Jonathan Barzideh is an Investment Partner at Canyon. Mr. Barzideh joined Canyon in 2007 and serves as Co-Head of Opportunistic Credit and Portfolio Manager for Canyon’s ESG investment strategy. Mr. Barzideh also oversees the firm’s Asset-Backed Finance efforts as well as investment opportunities related to bankruptcy claims and risk arbitrage. Additionally, Mr. Barzideh oversees a team that specializes in the energy, utilities, renewables, food services, business services, and chemical sectors. Prior to joining Canyon, Mr. Barzideh worked at Deutsche Bank, where he focused on event-driven, risk arbitrage, derivatives, and volatility strategies. Mr. Barzideh is a graduate of the Wharton School of the University of Pennsylvania (B.S., Economics, Concentrations in Finance and Statistics, Minor in Mathematics, Honors). Mr. Barzideh is a CFA® charterholder.
