37 result(s)
FUND MANAGER'S PROFILE

Michael Della Vedova
Michael Della Vedova is a global high yield portfolio manager in the Fixed Income Division. He is a portfolio manager for the Europe High Yield Bond Strategy and co-portfolio manager for the Global High Yield Bond Fund and Global High Income Bond Strategy.
LPC, University of Technology
Bachelor of Law and Bachelor of Commerce, University of New South Wales
Bachelor of Law and Bachelor of Commerce, University of New South Wales
Years at
T.Rowe Price
T.Rowe Price
12
Years investment
experience
experience
28
THINKING
Michael Della Vedova, Stephen Marsh, 2022/11/20 00:00:00.000
THINKING
Michael Della Vedova, Stephen Marsh, 2022/11/14 00:00:00.000
THINKING
Michael Della Vedova, Stephen Marsh, 2022/10/02 23:00:00.000
THINKING
Multiple Authors, 2021/04/21 23:00:00.000
THINKING
Michael Della Vedova, Stephen Marsh, 2021/01/11 00:00:00.000
BLOG
Michael Della Vedova, 2018/10/02 13:46:00.000
BLOG
Michael Della Vedova, 2018/01/11 10:33:00.000
THINKING
Dean Tenerelli, Michael Della Vedova, 2017/12/06 12:02:00.000
BLOG
Michael Della Vedova, 2017/11/16 16:31:00.000
BLOG
Michael Della Vedova, Stephen Marsh, 2017/09/08 15:39:00.000
BLOG
Michael Della Vedova, 2017/03/13 11:20:59.000
BLOG
Michael Della Vedova, 2017/02/17 10:57:05.000
THINKING
Michael Della Vedova, 2016/10/13 14:36:00.000
THINKING
Mark Vaselkiv, Michael Della Vedova, 2016/04/28 14:31:00.000
THINKING
Michael Della Vedova, 2016/03/10 13:52:00.000