Raghava K. Vudata

Senior Director, Portfolio Manager

Raghava joined SLC Management in 2008 and is a Portfolio Manager focusing on structured product investments and mortgage credit strategies

Raghava focuses on Governments and Agency MBS within the portfolios. Additionally, he manages the Treasury portion of the DRP Strategy and acts as liaison between Underlay team (in NY) and derivatives team in Wellesley. Apart from his portfolio management duties, he is also extensively involved in implementation of Risk/Performance attribution systems. In this role, he is responsible for generating and analyzing various risk/attribution reports across multiple portfolios and communicating it to other Portfolio Managers/traders/analysts..

Prior to 2021, Raghava was a senior analyst within Structured Products, where his primary focus was in within Agency and non-Agency MBS. His responsibilities included performing in-depth analysis and identifying relative value opportunities and trading of MBS holdings across multiple strategies. He also assisted senior Portfolio Managers with research and evaluation of assets across other structured sectors such as ABS, CMBS and CMOS.

Prior to 2011, served as an Index Analyst, responsible for the creation and maintenance of all the firm’s Indexes. Raghava was actively involved in daily and monthly operational procedures and coordinated with operational personnel on maintaining and improving internal systems. 

Raghava holds a Master’s degree in Engineering Management (Finance Major) from New Mexico Tech. and a Bachelor of Technology degree from J.N.T University.