Profile
Mr. Mark A. Yarger, CFA MBA, is a Managing Director & Associate Director of Portfolio Management & Quantitative Investment Group at Wellington Management Co. LLP.
He is also a Quantitative Analyst in Wellington Management’s Quantitative Investment Group.
He focuses on the research and development of quantitative investment models and portfolio construction tools.
He divides his time between quantitative research, research tool development, and enhancing the portfolio management platform.
He is also a Portfolio Manager at the firm.
Before joining the firm in 2000, Mr. Yarger worked as the Director of Quantitative Research at York Management and Research, a Florida-based hedge fund.
In this role, he produced security-selection models, risk-modeling tools, and a portfolio-optimization framework.
Previously, he worked at Instinet and Frontier Financial developing quantitative research tools.
He received his MBA, summa cum laude, from Babson College and studied political science at American University.
Additionally, he holds the Chartered Financial Analyst designation and is a member of the CFA Institute.
Mark Yarger active positions
| Companies | Position | Start |
|---|---|---|
Wellington Management Co. LLP
Wellington Management Co. LLP Investment ManagersFinance WMC relies on their extensive independent research and includes portfolio management styles and approaches in equities, fixed income securities, currencies and commodities, as well as asset allocation across these categories. The firm has several different disciplines when approaching research and these include asset allocation analysts, currency analysts, data scientists, factor analysts, fixed income credit analysts, fixed income market analysts, global industry analysts and research associates, macro-analysts, quantitative analysts and technical analysts. | Analyst-Equity | 2000-05-31 |
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| Private companies | 3 |
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Wellington Management Co. LLP
Wellington Management Co. LLP Investment ManagersFinance WMC relies on their extensive independent research and includes portfolio management styles and approaches in equities, fixed income securities, currencies and commodities, as well as asset allocation across these categories. The firm has several different disciplines when approaching research and these include asset allocation analysts, currency analysts, data scientists, factor analysts, fixed income credit analysts, fixed income market analysts, global industry analysts and research associates, macro-analysts, quantitative analysts and technical analysts. | Finance |
American University
American University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Babson College
Babson College Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
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