Max joined KKV Investment Management in November 2020, he is responsible for operations and risk within the business. Max was previously Global Head of Risk at Architas, having joined the firm in 2009. Prior to this Max was a Director at Integrated Alternative Investments. He started his career at Lombard Marketing Services in 1996. His primary specialism is risk and operations with an extensive background in marketing and product development. He has a degree in Business Administration from the Universita Bocconi and a Masters in Quantitative Finance from SOAS (University of London).