Profil
Mr. Mark H.
Sullivan, CFA, is a Senior Managing Director & Fixed Income Portfolio Manager at Wellington Management Co. LLP.
Mr. Sullivan joined the firm in 1999 as a Project Analyst in Global Relationship Management before becoming a Quantitative Analyst in the Fixed Income Group.
He has been a member of the Global Bond team since 2002.
As a member of the Global Bond Team, he focuses on alpha generation specifically the discretionary macro alpha stream and is responsible for the risk management process.
In this role, he is a member of the Global Bond Risk Committee, responsible for the risk allocations across portfolios and management of aggregate portfolio risk.
In addition, he works closely with the team’s Global Strategists to understand developments in the global cycle and identify trade opportunities to generate alpha within his risk allocation.
He received his BA from Colgate University in 1999 and holds the Chartered Financial Analyst and Chartered Market Technician designations.
Postes actifs de Mark H. Sullivan
| Sociétés | Poste | Début |
|---|---|---|
Wellington Management Co. LLP
Wellington Management Co. LLP Investment ManagersFinance WMC relies on their extensive independent research and includes portfolio management styles and approaches in equities, fixed income securities, currencies and commodities, as well as asset allocation across these categories. The firm has several different disciplines when approaching research and these include asset allocation analysts, currency analysts, data scientists, factor analysts, fixed income credit analysts, fixed income market analysts, global industry analysts and research associates, macro-analysts, quantitative analysts and technical analysts. | Portfolio Manager-Fixed Income | 01/07/1999 |
Formation de Mark H. Sullivan
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| Entreprise privées | 2 |
|---|---|
Wellington Management Co. LLP
Wellington Management Co. LLP Investment ManagersFinance WMC relies on their extensive independent research and includes portfolio management styles and approaches in equities, fixed income securities, currencies and commodities, as well as asset allocation across these categories. The firm has several different disciplines when approaching research and these include asset allocation analysts, currency analysts, data scientists, factor analysts, fixed income credit analysts, fixed income market analysts, global industry analysts and research associates, macro-analysts, quantitative analysts and technical analysts. | Finance |
Colgate University
Colgate University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















