Profile
Mr. Oliver V.
Edmonds, CFA, is a Portfolio Manager & Analyst at Capital Research & Management Co. As a fixed income investment analyst, he covers mortgage-backed securities.
He has over 18 years of investment experience, all with Capital Group.
He holds a master’s degree in statistics from the University of California, Los Angeles, and a bachelor’s degree in applied mathematics from the University of California, San Diego.
Oliver V. Edmonds active positions
| Companies | Position | Start |
|---|---|---|
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. | Analyst-Fixed Income | - |
Training of Oliver V. Edmonds
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Inactive
Listed companies
Private companies
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1st degree connections
1st degree companies
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Female
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Linked companies
| Private companies | 3 |
|---|---|
University of California, Los Angeles
University of California, Los Angeles Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
University of California San Diego
University of California San Diego Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
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 |
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