Stuart J. MacKenzie is a Director and Assistant Portfolio Manager for European Structured Credit funds. Based in London, Mr. MacKenzie is also responsible for secondary loan and bond trading on behalf of the European Structured Credit funds. His previous roles include high yield bond trading as well as serving as a credit analyst with specific responsibility for investments in the retail and automotive sectors.
Prior to joining Carlyle in December 2004, Mr. MacKenzie spent three years at Alcentra, an independent asset management company. He was responsible for credit investment across leveraged loans and high yield bonds, as well as handling a number of workouts. In a previous role, Mr. MacKenzie worked in Alcentra’s transaction management team where he was responsible for investor reporting and managing relationships with trustees, rating agencies and legal counsel.
Mr. MacKenzie holds a B.Sc. (Econ) in financial and business economics from Royal Holloway, University of London and is a CFA charterholder.







