Steve is responsible for the management of a range of Global Sovereign funds.
Experience and qualifications
Steve has been at Aviva since 2006, starting as a Derivatives specialist within the Fixed Income team before taking on the role of Sovereign Analyst supporting the Absolute return and global benchmark funds. In 2013 Steve took over the co-management of Aviva’s Gilt and Inflation linked portfolios before moving to his current role in 2016 as co-manager of Aviva’s Global Bond portfolios. Prior to joining Aviva Investors, Steve worked at ABN Amro as part of a European Fixed Income derivatives team.
Steve has a BA in Accounting and Finance from the University of Essex and holds the Investment Management Certificate.