Portfolio Manager - U.S. Investment Grade
George is responsible for assisting in the management of the U.S. Investment Grade Credit portfolios as well as global strategies that include U.S. Investment Grade Corporate bonds.
Experience and qualifications
George joined Aviva Investors after completing his MSc in Finance from Imperial College Business School in London. He also holds a BSc in Economics from the University of Southampton in England. During his studies, George held internships with Aon, Spreadex, and Amplify Trading. He is also a CFA® charterholder and is a member of the CFA Institute.