Company: GSHRW
Filing Date: 2025-03-12
Form Type: S-1/A
Source: 0001213900-25-022882
Chunk: 223

Company: Gesher Acquisition Corp. II
Filing Date: 2025-03-12
Form: S-1/A
Chunk 223
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, who is also known as Kobi Marenko, is an entrepreneur with over 25 years of experience in leading technology and media startups from seed stage to acquisition. Prior to founding us, from 2012 to 2014, Mr.Marenko was the founder and President of nexxen, a mobile DSP listedon the Nasdaq Stock Exchange (NADAQ: NEXN). Prior to this experience, from 2004 -2012, Mr.Marenko was the founder and CEO of Logia, a mobile content platform acquired by Digital Turbine (NASDAQ: APPS). For over 20 years, Mr.Marenko was leading tech and media startups from seed to acquisition. Mr.Marenko holds a BA in Philosophy from Tel Aviv University. We believe Mr.Marenko is well -qualifiedto serve on our board of directors due to his extensive business experience, including experience with both public and private companies, and his contacts and relationships. 149 Our Advisor Chris Coward serves as an advisor to the Company. Chris Coward most recently has acted as an advisor to the asset management industry particularly in technology -enhancedequity mandates, and capital markets strategy. Since March 2020, Mr.Coward has been a private investor. From July 2023 to September 2024, Mr.Coward was the Chief Risk Officer of Norias Capital Management LP. From February 2021 to 2022, he served as the Chief Financial Officer of Gesher I Acquisition Corp. From March 2015 to March 2020, Mr.Coward held various roles with Point72 Latitude Investments, an investment platform comprising over 30 fundamental investors, data scientists, and quantitative researchers building technology -driveninnovations in asset management. His positions at Point72 Latitude included Head of Singapore, where he built the firm’s equity, macro and data science capability, and Head of International Risk, where he oversaw the risk function for the Firm’s offices in Hong Kong, Japan, London, Singapore and Sydney. Mr.Coward was also a member of Point 72’s Risk Committee with responsibility for allocating approximately $60billion in capital globally. From 1998 to 2014, Mr.Coward was a Portfolio Manager running quantamental global equity strategies at UBS and BlueCrest Capital. Mr.Coward received an MBA from Columbia University and BEc from Macquarie University (Sydney). He is a member of the Advisory Council of the National University of Singapore Centre for Asset Management Research and Investments