Profile
Mr. James R.
Mulally is a Portfolio Manager at Capital Research & Management Co. and at Capital Research & Management Co. He has over 45 years of investment experience and has been with Capital Group for over 41 years.
Earlier in his career, Mr. Mulally was a fixed income investment analyst at Capital, he covered non-U.S.
sovereign fixed income markets.
Prior to joining Capital, he was a research associate at the Federal Reserve Bank of Minneapolis.
He holds an MBA from Columbia University Graduate School of Business and a bachelor’s degree in economics from Dartmouth College.
Jim Mulally 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. | Portfolio Manager-Fixed Income | - |
Capital Research & Management Co.
Capital Research & Management Co. Investment ManagersFinance CR&M maintains an investment philosophy that is distinguished by four key beliefs: fundamental research underlies all investment decisions; investment decisions should not be made lightly; a long-term approach; and the firm uses a system of multiple portfolio managers in managing most account and fund assets. The firm’s investment decisions are subject to a funds or account’s objectives, policies and restrictions and the oversight of the appropriate investment-related committees of the firm and their investment divisions. They typically build portfolios for funds and accounts from the bottom-up using rigorous fundamental research to find attractive investments and manage risks. | Portfolio Manager-Fixed Income | - |
Former positions of Jim Mulally
| Companies | Position | End |
|---|---|---|
Federal Reserve Bank of Minneapolis
Federal Reserve Bank of Minneapolis General GovernmentGovernment Federal reserve bank | Corporate Officer/Principal | - |
Training of Jim Mulally
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 5 |
|---|---|
Capital Research & Management Co.
Capital Research & Management Co. Investment ManagersFinance CR&M maintains an investment philosophy that is distinguished by four key beliefs: fundamental research underlies all investment decisions; investment decisions should not be made lightly; a long-term approach; and the firm uses a system of multiple portfolio managers in managing most account and fund assets. The firm’s investment decisions are subject to a funds or account’s objectives, policies and restrictions and the oversight of the appropriate investment-related committees of the firm and their investment divisions. They typically build portfolios for funds and accounts from the bottom-up using rigorous fundamental research to find attractive investments and manage risks. | Finance |
Dartmouth College
Dartmouth College Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Federal Reserve Bank of Minneapolis
Federal Reserve Bank of Minneapolis General GovernmentGovernment Federal reserve bank | Government |
Columbia Business School
Columbia Business School 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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