Philip Camporeale, managing director, is a portfolio manager on the Multi-Asset Solutions team, based in New York. In this role, Philip is responsible for developing and implementing global macro trading insights consistent with the Multi Asset Solutions investment process. A particular area of focus is the impact of global monetary policy on asset prices. Philip joined the Multi Asset Solutions team in 2011 and prior to his current role Philip managed the Investment Specialist team focused on US Funds. An employee since 2000, Philip was previously a portfolio manager in the New York fixed income group where he was responsible for managing duration and yield curve strategies. Philip has also appeared in various media outlets including CNBC, Bloomberg, and The Wall Street Journal. Philip earned a B.S. in Accounting and an M.B.A. in Finance from Fordham University. He is Series 3, 7, and 63 licensed.
This site uses cookies to store information on your computer. Some are essential to make our site work, others help us improve, the user experience. By using the site, you consent to the placement of these cookies. Visit our Privacy Center to learn more.