Oliver Fochler

Inhaber, CEO, Managing Partner, Stone Mountain Capital

London, United Kingdom

Skills

Hedge Fund
Private Credit
Private Debt
Private Equity
Venture Capital
Private Assets
Real Estate
Capital Markets
Asset Management
Alternative Investments
Alternative Investment Advisory
Investment Advisory
Risk Advisory
Credit Risk Management
Credit Portfolio Management
Economic Capital
Regulatory Capital
Solvency 2
Basel 3
Basel 2
Correlation
Valuation
Structured Finance
Structured Products
Performance Measurement
Performance Attribution
Risk Attribution
Asset and Liability Management
Liquidity Risk Management
Financial Consulting
Business Consulting
Project Management
Sales Management
Business Development
International Sales
Origination
Sourcing
Client Management
Global Key Account Management
Asset Allocation
Financial Advisory
Cross asset class advisory
Multi asset class advisory
Corporate Finance
Solution Structuring
Rating Advisory
Credit Rating
Derivatives
Credit Derivatives
Asset Based Finance
Placement
Private Placement
Public Placement
Asset Gathering
Fundraising
Capital Introduction
Capital Raising
Financial Structuring
Structuring
Due Diligence
Marketing
Investor Relations
Fund of Funds
Financial Advisory Services
Fixed Income
Equity
Multi Asset Class
Cross Asset Class

Timeline

Professional experience for Oliver Fochler

  • Current 3 years and 4 months, since 2021

    CEO, Managing Partner

    Stone Mountain Capital Ventures LLP

  • Current 4 years and 4 months, since 2020

    CEO, Managing Partner

    Stone Mountain Capital Partners LLP

  • Current 12 years and 4 months, since 2012

    CEO, Managing Partner

    Stone Mountain Capital

    Stone Mountain Capital is a private and independent alternative investment boutique based in London, Zurich and Dubai providing alternative investment research and solutions to institutional clients around the globe based on extensive cross asset, risk and corporate finance advisory expertise in ​structuring and capital introduction for ​hedge funds and private assets with total alternative Assets under Advisory (AuA) of US$ 62.4 billion and arranged new capital commitments of US$ 1.95 billion.

  • 2010 - 2012

    Partner, Member of the Executive Committee

    Prytania Investment Advisors LLP

    Prytania is an alternative asset management and advisory boutique specializing in structured finance and credit. Member of the executive committee and responsible for leading the marketing efforts of the partners and board plus oversight of the nurturing of global client relationships through marketing and transaction execution. Origination and fund raising for Prytania's credit opportunity, high grade and primary mezzanine funds. Investment & risk advisory for legacy asset holders in bad banks.

  • 2009 - 2010

    Director, Head Global Business Solutions

    Moody's Analytics

    Globally responsible for banking, insurance, asset management, corporate and regulator client base in valuation, risk assessment and stress testing advisory for structured finance/structured products, credit portfolio management, Solvency 2 guideline and asset & liability management with focus on liquidity risk and FSA liquidity regulation PS 09/16.

  • 2008 - 2009

    Director, Global Account Management

    Moody's Analytics

    Management of global tier 1 client base in banking, insurance and asset management and structured finance valuation, risk assessment and stress testing advisory.

  • 2006 - 2008

    Manager, Major Account Management

    Moody's KMV

    Global management of Swiss and German major banking and insurance client base and investment banking (sell-side) in EMEA.

  • 2004 - 2006

    Business Development Manager, Trade & Risk Solutions, EMEA

    Reuters

    Strategic solution sales in EMEA. Specification, development, business planning and sales of modules for F2B, asset and liability management, IAS39, credit risk under Basel 2 and structured products.

  • 2001 - 2004

    Senior Business Consultant

    Reuters

    Business consulting and project management in EMEA in portfolio management and reporting, independent asset manager trading platform, performance measurement & attribution, trade and limit management, market and credit VaR, operational and integrated risk management.

  • 1999 - 2000

    Marketing Research

    Bosch

    Product development and global marketing campaigns based on quantitative research.

  • 1996 - 1999

    Director and Founder

    F&H Intertade Corporation LTD

  • 1995 - 1996

    Director and Founder

    Habeas Corpus Act

Educational background for Oliver Fochler

  • Risk Management

    Global Association of Risk Professionals (GARP)

  • Finance

    University of Zurich

    Quantitative Finance

  • Finance

    University of Zurich

    Finance and Computer Science

  • Business Administration

    University of Augsburg

Languages

  • German

    -

  • English

    -

  • Chinese

    -

  • French

    -

Interests

Exceptional Rate of Return
Trading
Investments
Alternative Investments
Long/Short Credit and Equity
Alpha
Tennis

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