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February 06, 2015

Guggenheim Securities Announces Hiring of John Fargis to Expand Its TMT Investment Banking Group

NEW YORK – Guggenheim Securities, the investment banking and capital markets division of Guggenheim Partners, today announced the hiring of John Fargis as a Senior Managing Director. Mr. Fargis will focus on advising companies in the media sector, including publishing and information services, and will commence work at Guggenheim in June 2015.

"We are very pleased to welcome John to the team," said Mark Van Lith, Head of Investment Banking at Guggenheim Securities. "John is a trusted adviser to his clients. His strong relationships and deep sector expertise will contribute meaningfully to our TMT franchise."

Most recently, Mr. Fargis was Head of U.S. Media Investment Banking at Jefferies. Prior to that, he was in the TMT group at Bear Stearns.


About Guggenheim Partners

Guggenheim Partners is a global investment and advisory firm with more than $220 billion in assets under management. Across our three primary businesses of investment management, investment banking, and insurance services, we have a track record of delivering results through innovative solutions. With more than 2,500 professionals based in more than 25 offices around the world, our commitment is to advance the strategic interests of our clients and to deliver long-term results with excellence and integrity.



January 24, 2023

Eric Mandl Discusses Deal Dynamics in Software M&A

Senior Managing Director Eric Mandl, Guggenheim Securities, describes the state of dealmaking in tech for corporates and private equity firms on CNBC's TechCheck.
 

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January 20, 2023

Guggenheim First Quarter 2023 High-Yield and Bank Loan Outlook: 2023 Credit Outlook and Lessons Learned from a Tough Year

Guggenheim Investments, the global asset management and investment advisory business of Guggenheim Partners, today provided its First Quarter 2023 High-Yield and Bank Loan Outlook. Titled “2023 Credit Outlook and Lessons Learned from a Tough Year,” the report discusses why we believe many of the market developments that characterized 2022 will flip in 2023.

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October 11, 2022

Guggenheim Investments Named 2022 U.S. Fixed-Income Manager of the Year by Insurance Asset Risk

Guggenheim Investments has been named U.S. Fixed-Income Manager of the Year as part of the 2022 Insurance Asset Risk North Americas Awards.

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