The Blue Rock Team
Mark Steen, CFA
Managing Director
As Managing Director of Blue Rock, Mark’s primary responsibilities include sales and client service. As a member of Blue Rock’s Investment Committee Mark also contributes to investment manager research, oversight and portfolio monitoring. He has been in the investment business since 1990. 

Prior to joining Blue Rock in 1991, he worked at Prudential-Bache Securities as a research analyst for a Senior Investment Consultant specializing in the management of Taft-Hartley accounts. His responsibilities included evaluation and research of traditional money managers.

Mark graduated from the University of Minnesota Carlson School of Management in 1990 with a B.S.B. in Finance. Mark is a CFA® charterholder and is a member of the CFA® Society of Minnesota and the CFA® Institute.

Mark is on the Board of Directors for Friendship Ventures and is the past Chairman for the Friendship Foundation.

Mark can be reached at (952) 229-8710 or

Nothing in this website constitutes an offer or solicitation for the purchase or sale of any financial instrument or a commitment by Blue Rock Advisors, LLC or its affiliates ("Blue Rock") to enter into any investment products referenced herein. Any offer will be made only to persons meeting the requisite qualifications and then exclusively by means of a complete set of offering documents, including related subscription documents. This information is not intended to be used as the primary basis of investment decisions, and because of individual investor objectives, it should not be construed as advice designed to meet the particular investment needs of any investor. Investment in any instrument offered by Blue Rock is subject to liquidity restrictions and periodic windows of opportunity to withdraw assets. Full details of the funds are contained in the applicable offering memorandum which is available upon request from Blue Rock.

Blue Rock is a registered investment adviser. Securities may be offered through Blue Rock Global Partners, Inc., an affiliate of Blue Rock and member of FINRA & SIPC. Registration with the SEC or with any self-regulatory authority does not imply a certain level of skill or training. A detailed summary of the risks and characteristics of Blue Rock's investment advisory business is included in Part 2A of Blue Rock's Form ADV (available at Prospective investors must make an independent assessment of such matters in consultation with their own professional advisors. Nothing in the website should be construed as legal, tax, regulatory or accounting advice.

Although Blue Rock endeavors to maintain the information on this website, Blue Rock does not warrant its completeness or accuracy. Any opinions expressed are those of the writer and are subject to change without notice or update. The information herein is preliminary, subject to change, and does not constitute a complete description of Blue Rock's investment services.

No permission is granted to copy, redistribute or reproduce, in any form, any information or image contained in this website.