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Campe Goodman

Investor

Fixed Income Portfolio Manager at Wellington Management

About

Campe Goodman is a fixed income portfolio manager at Wellington Management, where he designed and has led the firm's Multi-Sector Credit and Global Impact Bond strategies since their inception. He has spent his entire investment career at Wellington managing multi-sector fixed income portfolios with a focus on credit sector rotation and research on the credit cycle and sector relative value. Before joining Wellington in 2000, he studied macroeconomics and finance in a doctoral economics program at MIT, and he holds an AB in mathematics from Harvard College and the CFA designation.

Colleagues at Wellington Management

Frequently asked questions

Who is Campe Goodman?
Campe Goodman is a fixed income portfolio manager at Wellington Management, where he designed and has led the firm's Multi-Sector Credit and Global Impact Bond strategies since their inception. He has spent his entire investment career at Wellington managing multi-sector fixed income portfolios with a focus on credit sector rotation and research on the credit cycle and sector relative value. Before joining Wellington in 2000, he studied macroeconomics and finance in a doctoral economics program at MIT, and he holds an AB in mathematics from Harvard College and the CFA designation.
Where does Campe Goodman work?
Campe Goodman is Fixed Income Portfolio Manager at Wellington Management.