Philip Dumas, CFA

Portfolio Manager

Boston University Graduate School of Management, M.B.A.
Assumption College, B.A.

Philip Dumas is a Portfolio Manager within Geode’s Absolute Return portfolio management team. He is responsible for the management of the Convertible Arbitrage strategy and assists in the management of the Capital Structure Opportunities strategy.  Mr. Dumas joined Geode in 2003. Mr. Dumas holds an M.B.A. from Boston University and a B.A. in Economics from Assumption College. He is a CFA charterholder.

Investment

Phil Dumas is a Portfolio Manager within Geode’s Absolute Return portfolio management team. Mr. Dumas is responsible for research, analysis, risk management, and trading for the Special Opportunities and Convertible Arbitrage strategies. He has specific expertise in research across numerous industries/sectors and securities valuation analysis across the convertible and high yield bond markets.

Prior to joining Geode in 2003, Mr. Dumas worked as a Convertible Bond Credit/Valuation Analyst at Wells Fargo Securities (formerly Wachovia Securities) on the bank’s proprietary trading desk where he was responsible for performing research and valuation analysis on convertible securities structures and industries/sectors. Previously, Mr. Dumas worked as a Credit Research Associate/Analyst at Loomis Sayles and Co. where he was responsible for covering numerous industries.

Mr. Dumas is a CFA charterholder.