Profil
Mr. Cameron Vandenbossche is a Senior Credit Analyst at Boyd Watterson Asset Management LLC.
He is responsible for credit and sector research.
Cameron monitors portfolio positions and assesses developments that impact the company’s existing corporate bond holdings.
He also provides regular quantitative reporting to assist the portfolio management team in identifying relative value and new potential investments.
He began his career at Boyd Watterson in June of 2018 as an Intern with the Real Estate and Fixed Income teams before transitioning to his full-time position in April of 2021.
He received his undergraduate degree from Michigan State University.
Postes actifs de Cameron Vandenbossche
| Sociétés | Poste | Début |
|---|---|---|
Boyd Watterson Asset Management LLC
Boyd Watterson Asset Management LLC Investment ManagersFinance Boyd Watterson manages client portfolios across a variety of fixed income and equity strategies. The firm’s fixed income investment philosophy is based on fundamental economic analysis, technical interest rate analysis, and credit research. They seek to identify undervalued securities in order to increase the yield of their portfolios and provide price appreciation. Boyd Watterson applies a top-down, bottom-up approach that blends quantitative screening and fundamental credit research to seek to achieve optimal risk/reward characteristics. Their equity investment philosophy is based on fundamental analysis, both at the macro-economic level and company-specific level. Their investment decisions are based on long-term projections of economic growth and earnings cycles. | Analyst-Fixed Income | 01/04/2021 |
Formation de Cameron Vandenbossche
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Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 2 |
|---|---|
Boyd Watterson Asset Management LLC
Boyd Watterson Asset Management LLC Investment ManagersFinance Boyd Watterson manages client portfolios across a variety of fixed income and equity strategies. The firm’s fixed income investment philosophy is based on fundamental economic analysis, technical interest rate analysis, and credit research. They seek to identify undervalued securities in order to increase the yield of their portfolios and provide price appreciation. Boyd Watterson applies a top-down, bottom-up approach that blends quantitative screening and fundamental credit research to seek to achieve optimal risk/reward characteristics. Their equity investment philosophy is based on fundamental analysis, both at the macro-economic level and company-specific level. Their investment decisions are based on long-term projections of economic growth and earnings cycles. | Finance |
Michigan State University
Michigan State University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















