Biography
Main responsibilities
Paul is responsible for the implementation and day to day management across the range of Multi-Strategy capabilities.
Experience and qualifications
Paul is a senior member of the Liquid Markets Implementation team which are involved in managing execution strategies across multiple asset classes. He has extensive experience dealing with derivative structures across equity and fixed income. Paul joined Aviva Investors in 2007 as a manager for Fixed Income Performance reporting moving to Credit Portfolio Management and then to the Multi Assets team to work on multi strategy fund ranges.
Prior to this Paul worked as an investment accountant for Bank of New York Mellon. Paul holds a BA Honours degree from the University of Portsmouth.