Investor Type
×

Tell us once and we'll remember.

I'm an...

Don't worry, you can always change this selection using the icons at the top left of the site.
Institutional Investor Advisor Individual Investor

Peter Vanderlee, CFA

Managing Director, Portfolio Manager
18 Years experience
18 Years at ClearBridge

"We use a rigorous investment process, based on a prudent search for value."

Peter is a member of the Income Solutions team that co-manages the Dividend Strategy products. He is also a co-manager of the Tactical Dividend Income strategy, Balanced Income Strategy and the LMP Capital and Income Fund. Peter has 18 years of investment management experience and 11 years of related industry experience.

Peter's investment industry experience includes a senior associate position in the Financial Services and Information Technology Group of Booz & Co. and a senior position as first vice president within the Information Technology Division of Citigroup Inc. Peter transitioned to a ClearBridge Investments predecessor firm in 1999.

Peter received his MS in Math/Computer Science from the University of Technology, Eindhoven, Holland and his MBA from New York University's Leonard N. Stern School of Business. He is a member of the CFA Institute.

Experience

  • 18 years of investment industry experience
  • 11 years of related industry experience
  • Joined a predecessor organization in 1999
  • Member of the CFA Institute
  • Salomon Smith Barney - First Vice President
  • Booz & Co. - Program Director/Senior Associate
  • Cap Gemini America - Senior Consultant
  • MBA from New York University, Leonard N. Stern School of Business
  • MS in Math/Computer Science from the University of Technology, Eindhoven, Holland

Perspectives

  • Dividend Strategy
    1Q17 Commentary: Growing political uncertainty and rich valuations failed to slow market gains.
  • Dividend Strategy ESG
    4Q16 Commentary: Increasing disclosure of climate-related risks shows a corporate commitment to sustainability.
  • Dividend Strategy
    4Q16 Commentary: Despite a narrowing yield advantage, stocks reacted positively to potential pro-growth policies.