Profil
David C.
Barclay worked as a Portfolio Manager at Capital Research & Management Co. (Fixed Income Investors) from 1988 to 2018.
Prior to that, he worked as a Principal at E.F.
Hutton & Co., Inc. and as an Assistant Vice President at The Bank of New York Co., Inc. He also worked as a Senior Vice President at Capital Research & Management Co. (World Investors) from 2007 to 2011.
Mr. Barclay received an undergraduate degree from the University of Vermont.
Anciens postes connus de David C. Barclay
| Sociétés | Poste | Fin |
|---|---|---|
Capital Research & Management Co. (Fixed Income Investors)
Capital Research & Management Co. (Fixed Income Investors) Investment ManagersFinance CRMC-FII manages fixed income portfolios that seek to capture the risk and return characteristics of other investment vehicles with the same investment strategy. To manage this type of portfolio, they implement a proprietary solution that utilizes a commercially available third-party risk model to help identify the characteristics of the underlying holdings of the strategy. The firm’s fixed-income investment strategy takes a more top-down view of the factors impacting the markets. Core fixed-income portfolios are constructed based on duration, sector allocation and security selection. | Portfolio Manager-Fixed Income | 01/01/2018 |
E.F. Hutton & Co., Inc.
E.F. Hutton & Co., Inc. Financial ConglomeratesFinance Provides investment and financial services | Corporate Officer/Principal | - |
The Bank of New York Co., Inc.
The Bank of New York Co., Inc. Major BanksFinance Provides commercial bank services | Corporate Officer/Principal | - |
Capital Research & Management Co. (World Investors)
Capital Research & Management Co. (World Investors) Investment ManagersFinance CWI employs a long-term, value-oriented global investment approach and a multiple portfolio manager system that combines teamwork and individual accountability. The firm utilizes fundamental research to gather in-depth information on markets and companies around the world. They also employ a security-by-security approach to portfolio construction and emphasize long-term investments. They offer a wide variety of equity, fixed-income and balanced investment strategies. Their strategies are categorized as global, multi-regional and regional investment strategies. | Portfolio Manager-Fixed Income | - |
Formation de David C. Barclay
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Sociétés liées
| Entreprise privées | 5 |
|---|---|
The Bank of New York Co., Inc.
The Bank of New York Co., Inc. Major BanksFinance Provides commercial bank services | Finance |
University of Vermont
University of Vermont Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Capital Research & Management Co. (World Investors)
Capital Research & Management Co. (World Investors) Investment ManagersFinance CWI employs a long-term, value-oriented global investment approach and a multiple portfolio manager system that combines teamwork and individual accountability. The firm utilizes fundamental research to gather in-depth information on markets and companies around the world. They also employ a security-by-security approach to portfolio construction and emphasize long-term investments. They offer a wide variety of equity, fixed-income and balanced investment strategies. Their strategies are categorized as global, multi-regional and regional investment strategies. | Finance |
E.F. Hutton & Co., Inc.
E.F. Hutton & Co., Inc. Financial ConglomeratesFinance Provides investment and financial services | Finance |
Capital Research & Management Co. (Fixed Income Investors)
Capital Research & Management Co. (Fixed Income Investors) Investment ManagersFinance CRMC-FII manages fixed income portfolios that seek to capture the risk and return characteristics of other investment vehicles with the same investment strategy. To manage this type of portfolio, they implement a proprietary solution that utilizes a commercially available third-party risk model to help identify the characteristics of the underlying holdings of the strategy. The firm’s fixed-income investment strategy takes a more top-down view of the factors impacting the markets. Core fixed-income portfolios are constructed based on duration, sector allocation and security selection. | Finance |
















