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tishman capital partners

fixed income

TCP manages fixed income strategies for its funds and separate accounts.  The funds strategy generally invests in fixed income diversified across issuers and sectors and selected dividend-paying stocks.  The investment team analyzes credit metrics, valuing the structural features of individual securities and assessing external market factors.  The team also focuses on duration management, risk management techniques and broad diversification to manage default risk.1

investment team

charles song

Chief Investment Officer

Charles Song is the President and Chief Investment Officer for Tishman Capital Partners. During his time at Tishman, he has seeded a 3PL company, seeded an investment firm focused on tax loss harvesting solutions, launched a distressed credit fund and launched a Qualified Opportunity Zone strategy. He currently serves as an advisor for Outerspace Ops Inc, Postcard Technologies, Presso and Quantinno Capital Management.  He also serves as co-chair of the Advisory Board for Per Scholas Newark, an organization committed to providing skills training and access to employer networks to individuals often excluded from tech careers. Prior to Tishman, he was a Managing Director at Bank of America Merrill Lynch in New York and has worked as a portfolio manager at Moon Capital, Macquarie and Dividend Capital. Mr. Song started his career at Lehman Brothers in New York. He holds a B.A. in Government from Cornell University.

Marc Freschl

Portfolio Manager

Marc Freschl is Portfolio Manager for Tishman Capital Partners. Prior to joining Tishman in 2018 he was a Managing Director and Co-Portfolio Manager at Soros Fund Management for eight years. Prior to Soros, Marc was a Real Estate Analyst and Trader at Stark Investments, Real Estate Healthcare Banker at Cain Brothers, Development Manager at Ridge Property Trust, and Real Estate Senior Analyst at Ernst & Young Kenneth Leventhal. Marc graduated with a B.B.A. from the University of Wisconsin – Madison and is a member of the Economic Club of New York.

Tim Mulvihill

Portfolio Manager

Timothy Mulvihill is the Fixed Income Portfolio Manager for Tishman Capital Partners.  Prior to Tishman he worked at Carlson Capital, an alternative asset management firm, covering high yield, leveraged loans and distressed credit.  Before Carlson, he worked at Invesco, where he managed the Invesco Oppenheimer Fundamental Alternatives Fund, a long-short multi-asset mutual fund.  Prior to that, Tim worked as a credit analyst for Courage Capital as well as Stark Investments.  Mr. Mulvihill started his career at Brown Brothers Harriman and Credit Suisse in New York.  He holds an MBA from the University of Chicago Booth School of Business and a BA from Yale University.  He is also a CFA Charterholder.

1 There can be no guarantee that the fixed income strategy will be able to achieve its investment objectives.