Rakesh Yeredla
- Role
- Portfolio Manager at Wellington Management
- Location
- Boston, MA, US
- LinkedIn followers
- 500 followers
About Rakesh Yeredla
Fixed Income Portfolio Manager for a global credit long/short strategy. Skills include:…
Experience
Portfolio Manager
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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