Mark Dove

Profile

Job title

Credit Portfolio Manager

Contact details

Work location

London, United Kingdom

Joined Aviva Investors

2026

Joined The Industry

2016

Biography

Main responsibilities

Mark is a credit portfolio manager within the firm’s High Yield and Multi‑Sector Fixed Income capabilities.
 
His broad expertise in credit portfolio management includes leadership in global hybrid debt as well as credit volatility strategies, both of which are of integral importance to the capabilities across the Capital Opportunities area. 

Experience and qualifications

Prior to joining Aviva Investors, Mark was a Portfolio Manager at Federated Hermes in London, where he contributed to the management of the firm’s high yield, investment grade, and multi sector credit capabilities. Before his time at Federated Hermes, Mark began his career as an analyst at Aberdeen Asset Management.

Mark holds a bachelor’s degree in economics and is a CFA charterholder.