Keith Magliana is a Principal and Portfolio Manager for European credit. He is Portfolio Manager for Taconic’s European Credit Dislocation Funds and Sidecar Funds. He is based in our London office. Prior to joining Taconic, Mr. Magliana was a senior analyst at King Street in London and prior to that was a senior analyst at Deutsche Bank on the distressed debt trading team in London. He was also an equity analyst and an associate director in the mergers and acquisitions group at UBS. Mr. Magliana received a B.A. in Philosophy, cum laude, from Middlebury College in 1996 and an M.B.A. from Columbia Business School in 2003.