Gary Jacobi, M.A., M.B.A.
Mr. Jacobi has a BA, BS and MBA from SUNY at Buffalo and an MA from Baruch College. Additionally, Gary is on the faculty of NYU where he teaches a variety of courses in finance. He has been with Wexford since late 2008, where he now serves as a credit and distressed analyst covering a number of diverse industries, including automotive, finance, manufacturing media and telecom. Prior to joining Wexford, Gary was both a high grade and a high yield analyst with Bear Stearns, Deutsche Bank and HSBC. In addition to his Wall Street experience, Gary worked for approximately 18 years in the telecommunications industry.