Portfolio Manager, Emerging Market Local Currency Debt
Stuart is a portfolio manager for the local currency emerging debt and emerging debt opportunities portfolios.
Experience and qualifications
Before becoming a portfolio manager, Stuart worked for six years as a senior analyst within Aviva Investors’ quantitative strategies group. Prior to joining Aviva Investors, he was a strategist at Rabobank and before this he worked for Goldman Sachs Asset Management as a product specialist.
Stuart has a bachelor’s degree in finance and economics from Otago University, New Zealand and a master’s degree in investment and securities from the ISMA Centre, University of Reading.