Campe Goodman
InvestorFixed Income Portfolio Manager at Wellington Management
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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.
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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.







