Jonathan Barzideh is an Investment Partner at Canyon. Mr. Barzideh joined Canyon in 2007 and serves as the lead Portfolio Manager for Canyon’s ESG investment activities as well as a Co-Portfolio Manager for the Canyon Distressed Opportunity Fund IV. Additionally, Mr. Barzideh oversees a team that primarily focuses on investments in the energy, utilities, renewables, and chemical sectors as well as risk arbitrage investment opportunities. 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.