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Michael V. Barry

Senior Managing Director, Fixed-Income Portfolio Manager at Wellington Management


 

Background

Michael V. Barry is the lead portfolio manager of Wellington Management’s US and Global Convertible bond approaches. He manages customized convertible portfolios with various risk and return objectives. He is also a high yield credit analyst covering technology, as well as the gaming and telecommunication sectors. In this role, he acts to identify cross-capital structure investment ideas and collaborates broadly across the firm. He also actively participates in a variety of firmwide technology initiatives.

Mike has almost two decades of experience investing in leveraged capital structures. Prior to joining Wellington Management in 2010, he worked as a high-yield research analyst at Fidelity Investments in Boston (2002 – 2009). In this role, he analyzed convertible securities, high-yield bonds, leveraged loans, and leveraged equities in a variety of consumer, industrial, and commodity sectors.

Mike received his BA in economics with departmental honors from Boston College (2002) and spent time abroad studying at the London School of Economics (2001).

Funds Managed

Hartford High Yield Fund

Experience

Professional experience since 2002

Wellington Management
2010-present

Fidelity Investments
2002-2009

Education

BA, Boston College

London School of Economics

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