David Chang

CFA
Commodities Portfolio Manager
Boston
1160370731
As a commodities portfolio manager, David manages long-only and long/short commodity approaches on behalf of our clients. He collaborates with Wellington Management’s investment resources, including natural resource-focused global industry analysts and macroeconomists, to analyze the fundamental drivers of commodity markets. David is the vice chair of the Wellington Management Foundation Board, the sponsor to the Wellington Young Professionals business network, and a member of Wellington’s Upstanders Group. The Upstanders is a grassroots effort composed of over 150 Partners and Managing Directors, who are engaging in sponsorship, mentorship, and other activities aimed at improving diversity and inclusion at the firm.

Insights By David Chang

Showing of Insights Posts
2022 Asia Pacific Investment Forum: The energy complex
What do the rapidly accelerating tensions in the energy and commodity complex mean for investors? Discover three expert insights from our 2022 Asia Investment Forum.
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Video
2023-09-30
Is the commodities rally built to last?
Commodities were the only major asset class that performed well in the first half of 2022. Multi-Asset Strategist Adam Berger and Commodities Portfolio Manager David Chang consider whether there’s more upside from here.
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Article
2023-08-31
Mid-2022 Inflation Outlook
We explore the current inflation environment's significant impacts on asset markets, anticipated relief in supply-chain pressures, and opportunities in commodities and enduring assets.
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Article
2023-07-31
Russia/Ukraine: Transformational, not transitory
Four Wellington thought leaders share their distinct individual perspectives on the short- and longer-term implications of the tragic watershed conflict between Russia and Ukraine: Geopolitical Strategist Thomas Mucha on the geopolitical backdrop; Macro Strategist John Butler on what it means for Europe; Macro Strategist Santiago Millán on the role of China; and Portfolio Manager David Chang on the commodities markets.
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Article
2022-11-30
River from above
Commodities investing amid the Russia/Ukraine conflict
We explore how the tragic conflict between Russia and Ukraine impacts commodities markets broadly and a few key commodities in particular.
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Article
2023-03-31
Commodities in 2022: Opportunities amid inflation
Inflation is quickly becoming top of mind for many as everything from ice cream to cars gets more expensive. Investors are beginning to recognize that we’re experiencing the highest inflation levels in 40 years. In our view, we may be entering a market that could be quite favorable for inflation-hedging assets broadly and commodities, in particular. Critically, this environment is coming on the heels of a decade or more of institutions deallocating from inflation-sensitive areas.
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Quick Take
2022-08-31