Mike Graham

Head of US High Yield

Mike is the Head of US High Yield and Senior US HY Portfolio Manager with AXA IM. He is also a member of the Core High Yield and Global High Yield Working Groups, which are the teams responsible for the management of our US core and global high yield portfolios. 

Since 2007, Mike has served a number of roles within the US High Yield team, including his most recent role as US High Yield Portfolio Manager. He is the lead manager on several portfolios including the AXA WF US High Yield Bond fund, the AXA WF Global High Yield Bond fund, and the AXA WF US Dynamic High Yield Bond fund, among others.  Mike joined AXA IM as a US High Yield Credit Research Analyst, covering several sectors including but not limited to Energy, Utilities, and Healthcare. In 2010, his role expanded to include portfolio management. Prior to joining AXA IM in 2007, he was an Analyst in the Public Finance division of Bear, Stearns & Company, where he performed financial analysis and quantitative support for the Public Power group.

Mike holds a B.A. in Economics from Williams College and has the CFA professional designation.

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