Mark Goodman, CFA

Portfolio Manager
Mark Goodman, CFA, is a portfolio manager for the Small Cap Value, Mid Cap Value, and Small-Mid Cap Value strategies at William Blair Investment Management. He is also a research analyst focusing on the information technology and consumer discretionary sectors. Before joining the firm in 2025, Mark was a portfolio manager and senior analyst at Wellington Management, where he focused on small-mid cap and mid-cap value strategies and covered the consumer discretionary, consumer staples, information technology, and healthcare sectors. Previously, he was a senior analyst on the value team at Chartwell Investment Partners, where he concentrated on small- and mid-cap value strategies. Before that, Mark held analyst roles at Endowment Capital Group and Merrill Lynch Investment Managers. He received a B.S. in systems engineering and economics from the University of Virginia.
Featured Funds
ICSCX
View Fund:
https://im.williamblair.com/investments/mutual-funds/icscx-small-cap-value-fund
ISMVX
View Fund:
https://im.williamblair.com/investments/mutual-funds/ismvx-small-mid-cap-value-fund
WVMIX
View Fund:
https://im.williamblair.com/investments/mutual-funds/wvmix-mid-cap-value-fund
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