Senior Staff

John C. Maguire, Chief Operating Officer

John C. Maguire, Senior Legal AdvisorMr. Maguire is a Chief Operating Officer of Greylock Capital Management and was engaged to provide his expertise in liability management transactions, including workout situations involving the Fund's portfolio. He joined in December 2008 following the acquisition of Bear Stearns by JP Morgan. He previously was a Senior Managing Director, co-founded and was head of Bear Stearns' Global Liability Management Group which focused on issuers in the Telecom, Media and Technology Group, Healthcare Group, Real Estate, Gaming and Leisure and Financial Sponsors Group, General Industry Group, Financial Institutions Group, corporate and sovereign issuers in the International Markets, and U.S. Government Agency issuers. Prior to joining Bear Stearns, Mr. Maguire was partner in the New York law firm of Brown & Wood LLP (now known as Sidley Austin LLP) where he specialized in liability management transactions, mergers and acquisitions and securities laws. At Brown & Wood, Mr. Maguire advised investment banks and issuers regarding the structural and legal requirements of liability management transactions and while there and at Bear Stearns obtained permission from the Securities and Exchange Commission to utilize many of the current structures for liability management transactions including Real-Time Fixed Spread Tender Offer and the dual settlement process. Mr. Maguire received his B.S.C. from Santa Clara University, his J.D. from Pepperdine University School of Law and his L.L.M. (Securities Regulation) from Georgetown University Law Center.

Thomas Elwood, General Counsel & Chief Compliance Officer

Mr. Elwood is the General Counsel and Chief Compliance Officer for Greylock Capital Management, LLC. He has over 11 years experience as an enforcement attorney/investigator for U.S. Securities and Exchange Commission where he performed compliance and conducted investigations of registered investment companies and advisors. Prior to joining Greylock, Mr. Elwood served as Compliance Director and General Counsel for Van Eck Global and served in the legal department of New York Life and Chubb Life Insurance where he oversaw litigation involving investment advisors and broker dealers. Mr. Elwood received his JD from New York Law School, MBA from Rutgers University and BS from University of Dayton.

Leisa Little, Director of Marketing & Investor Relations

Ms. Little joined Greylock Capital Management, LLC in 2004 and is focusing on non-market transactions and marketing. Prior to joining Greylock, Ms. Little was a Vice President in Investment Banking with Lazard Freres & Co where she most recently advised on the Republic of Argentina Debt Restructuring. From 1991 to 2003, she managed the New York office of the Asset Trading Department, Lazard's proprietary EM portfolio, originating and executing global distressed emerging market transactions. Leisa has over 12 years experience in emerging markets debt trading, including debt/debt, debt/equity swaps and buybacks with sovereign, corporate, multilateral and private clients. Ms. Little has an MIA from Columbia and a BA from Trinity University.

Eric Tucker, Director of Operations

Mr. Tucker joined Greylock Capital Management, LLC in 2008 as the Director of Operations and has over 17 years in the financial industry. Prior to joining Greylock, he was the Director of Operations for Raven Asset Management, a long/short credit opportunity hedge fund where he was responsible for the company’s operations, administration and information technology. In 2005 Mr. Tucker was Director of Operations for Newgate Capital Management, an emerging markets and global resources manager. From 2002 to 2005 he was Director of Wealth Planning for Karr Barth Private Client Group, a Registered Investment Advisor. Prior to that Eric spent seven years as Director of Operations for European Investors Inc, a $4.0 billion institutional REIT manager, where he managed the trading and settlement operations, compliance and fund accounting. Mr. Tucker has an MBA from Fordham University and a BA from Binghamton University.

James D. Alban-Davies, Senior Advisor

James D. Alban-Davies, Senior AdvisorMr. Alban-Davies is the Senior Advisor to Greylock Capital Management, LLC and has over 40 years of experience in the financial markets. He has lived and worked as a banker in Argentina, The Bahamas, Panama, and Paraguay as well as in London, Miami and New York. From 1982 until 1987, he was Executive Vice President of National Westminster Bank (USA) Inc. where he ran the International Banking Division and sat on the Restructuring Committees of Argentina and Peru. In 1988 he was appointed a Managing Director of Midland bank and set up the group's Emerging Markets Trading & Sales Desk in New York, and continued in that position following the takeover by HSBC leaving in 1997 to establish the Emerging Markets Fixed Income Group at Credit Lyonnais Securities in new York. Mr. Alban-Davies worked on a number of successful debt for equity deals in the 1990's and was a Board Director of Banco Roberts in Argentina from 1992 until 1997. He also sat on the Board of Directors of the Emerging Markets Traders Association. From July 2001 until July 2007 he was the Chief Investment Officer of Petercam Capital which advised two European-based funds of hedge funds, PAM Growth and PAM Arbitrage, as well as some European private accounts. Mr. Alban-Davies received a B.Sc (Economics) with honors from the London School of Economics and is a Fellow of the Chartered Institute of Bankers.

Alsion Roach, Director of Finance

Ms. Alsion Roach joined Greylock Capital Management, LLC as Director of Finance in July of 2008. Ms. Roach has extensive experience in the financial industry, having worked for years at a number of financial services companies in a variety of posts. Most recently, for the past ten years, Ms. Roach worked as an Associate Director and Controller in the International Debt Capital Markets, Emerging Markets and High Yield groups at Bear Stearns & Co. Inc. In addition, she was very involved in managing client relations with the Caribbean and participated in the arranging and structuring of a US $125 million bond offering for Air Jamaica that was unconditionally guaranteed by the Government of Jamaica and underwritten by Bear Stearns. Prior to joining Bear Stearns, she worked as an Analyst on the Mortgage Backed Securities desk at Hong Kong Shanghai Bank (HSBC). Prior to that, Ms. Roach worked as an Analyst at Dunn & Bradstreet in their Rating Group. Before Dunn & Bradstreet, Ms. Roach was a P&L Analyst for the Mortgage Backed Securities Group at Prudential Bache Securities. Ms. Roach received an Associates Degree in Finance from American Business Institute, School of Business.