Senior Portfolio Manager, Alternative Income
Sarah is responsible for the portfolio management of alternative income funds and segregated mandates. She has a particular focus on infrastructure investments.
Experience and qualifications
Sarah has 18 years’ experience across investment, credit risk and asset finance. Prior to joining Aviva Investors, Sarah was responsible for the Pension Protection Fund’s £1bn illiquid asset portfolio, where she invested across alternative income assets, particularly infrastructure debt. Previous positions include Head of Investment Risk at Pension Insurance Corporation, where she was responsible for credit and counterparty risk management. Sarah also spent 7 years as a Director at M&G Investors, across structured finance, infrastructure investment, RE finance, corporate debt and restructurings. She started her career in the transport and infrastructure M&A advisory team at N.M. Rothschild & Sons, moving on to Fitch Ratings, rating complex asset-backed financings. Sarah has spent 3 years as a Non-Executive on the Regulation Committee at the Homes & Communities Agency.