Campe Goodman Profile
Campe Goodman, CFA
Fixed Income Portfolio Manager

Campe is a fixed income portfolio manager at Wellington. He is the primary architect of Wellington’s Multi-Sector Credit and Global Impact Bond platforms, both of which he has led since the inception of the strategies. Campe has spent his entire investment career at Wellington managing multi-sector fixed income portfolios and specializing in credit sector rotation. He conducts research on the credit cycle and sector relative value in collaboration with other macro and credit specialist investors throughout the firm. This research anchors the investment process for his investment strategies, and is an important input into the other strategies managed by Wellington’s Broad Markets Team.

Prior to joining Wellington Management in 2000, Campe spent four years at the Massachusetts Institute of Technology studying macroeconomics and finance in a doctoral program in economics. Campe received his AB in mathematics, magna cum laude, from Harvard College (1995). In addition, he holds the Chartered Financial Analyst designation.

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