Rakesh Yeredla

Role
Portfolio Manager at Wellington Management
Location
Boston, MA, US
LinkedIn followers
500 followers
Finance & AccountingView LinkedIn profile

About Rakesh Yeredla

Fixed Income Portfolio Manager for a global credit long/short strategy. Skills include:…

Experience

  1. Portfolio Manager

    Wellington Management

    Jul 2013 — Present

    Portfolio Manager with full discretion for a hybrid quantitative long/short Global Credit Absolute Return strategy with a 8-10% return target - Portfolio Manager for an ESG/Sustainability based credit long/short strategy focusing on Green/Sustainability/Social bonds and ESG laggard shorts - Developed a proprietary mean-reversion based quantitative framework to implement Relative Value Trading across Emerging Markets Debt and High Yield/Investment Grade Corporate securities and indices - Helped manage the firm\'s flagship Unconstrained Bond Fund of over $6B AUM with a focus on credit sectors. Fund performance in the top decile compared to the Morningstar’s Unconstrained Bond category over the last five years.

Education

  • Indian Institute of Technology, Madras

    B.Tech, Metallurgical and Materials Engineering

    2000 — 2004

  • University of Wisconsin-Madison

    MS, Engineering

    2005 — 2007

  • The University of Chicago Booth School of Business

    Master of Business Administration (MBA), Finance, General

    2011 — 2013

Skills

  • Private Equity
  • Asset Allocation
  • Equities
  • Investment Management
  • Portfolio Management
  • Financial Modeling
  • Emerging Markets
  • Trading
  • Investment Banking
  • Asset Management
  • Due Diligence
  • Hedge Funds
  • Investments
  • Risk Management
  • Financial Analysis
  • Quantitative Research

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Rakesh Yeredla — Portfolio Manager at Wellington Management in Boston, MA, US | Unifers