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Jeremy Forster Profile
Jeremy Forster
Fixed Income Portfolio Manager
Boston

Jeremy is a portfolio manager on the Broad Markets Team and the lead portfolio manager for the firm's US government bond approaches, including Treasuries, STRIPS, TIPS and global inflation-linked bonds. He leads the team’s macroeconomic and interest rate research for developed markets and develops fundamental and market-driven valuation models for interest rates, credit markets, and relative value determination across sectors and geographies.

Prior to joining Wellington in 2011, Jeremy was a fixed income portfolio manager and trader with the Federal Reserve Bank of New York on its open market desk. He began his career there as an assistant economist in the research group.

Jeremy holds a BS in economics and finance, magna cum laude, from the University of Wyoming as well an MBA from New York University.

Insights By Jeremy Forster