Stephen L. Bartolini, CFA, Portfolio Manager
- M.B.A., University of Maryland, Robert H. Smith School of Business
- B.S., George Washington University
Steve Bartolini is a portfolio manager in the Fixed Income Division. He manages the US Core Bond Strategy and co-manages the US Investment Grade Core Bond Strategy. Steve is the president and chairman of the Investment Advisory Committee for the New Income Fund. He co-heads the Global Interest Rate and Currency Strategy team and is a member of the portfolio strategy team for the Core/Core Plus bond strategies. He also is a member of the Asset Allocation Committee. Steve is a vice president of T. Rowe Price Group, Inc., T. Rowe Price Associates, Inc., and T. Rowe Price Trust Company.
Steve’s investment experience began in 1999, and he has been with T. Rowe Price since 2010, beginning as a mortgage trader in the Global Trading department. After that, he became an associate portfolio manager on the U.S. Taxable Bond team before assuming his current role. Prior to this, Steve was employed by Fannie Mae in the capital markets area, where he served as a director of portfolio management, a senior trader, and an analyst.
Steve earned a B.S. in economics from George Washington University and an M.B.A. in finance from the University of Maryland, Robert H. Smith School of Business. He also has earned the Chartered Financial Analyst® designation.
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- Years at T. Rowe Price11
- Years investment experience22