Profiel
Ms. Mackenzie Meyer is Vice President & Assistant Portfolio Manager at Nuveen Asset Management LLC.
She is responsible for investment decisions as well as trading corporate bonds across the credit quality spectrum.
Primarily focused on investment grade corporates as a member of the High-Grade Credit Sector Team, she also assists the firm’s High-Yield Credit Sector Team with trading activity.
She is a co-manager on the Short Duration Multi Sector strategy.
She began working in the financial services industry in 2002 and joined Nuveen Asset Management in 2011.
Previously, Ms. Meyer served as a mortgage trader at the Federal Home Loan Bank of Des Moines, where she managed the bank’s mortgage-backed security investment portfolio.
She was also employed with INTL FCStone Inc. (formerly FCStone Inc.) where she was involved with trading and relative value analysis.
Ms. Meyer earned a B.A. in finance from the University of Northern Iowa and an M.B.A. from the University of Iowa.
Eerdere bekende functies van Mackenzie Meyer
| Bedrijven | Functie | Einde |
|---|---|---|
Nuveen Asset Management LLC
Nuveen Asset Management LLC Investment ManagersFinance NAM provides its services across a broad array of fixed income, equity and other investment strategies, including in the broad categories of municipal bonds, taxable fixed income, global and international, value, growth and core, public real assets, asset allocation, quantitative/enhanced, alternative and customized strategies. Depending on the strategy, the firm invests in a variety of securities and other investments, including in certain cases derivatives, and employs various methods of analysis and investment techniques. | Portfolio Manager-Fixed Income | 01-11-2020 |
Opleiding van Mackenzie Meyer
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| Bedrijven in privébezit | 2 |
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University of Northern Iowa
University of Northern Iowa Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Nuveen Asset Management LLC
Nuveen Asset Management LLC Investment ManagersFinance NAM provides its services across a broad array of fixed income, equity and other investment strategies, including in the broad categories of municipal bonds, taxable fixed income, global and international, value, growth and core, public real assets, asset allocation, quantitative/enhanced, alternative and customized strategies. Depending on the strategy, the firm invests in a variety of securities and other investments, including in certain cases derivatives, and employs various methods of analysis and investment techniques. | Finance |
















