Biography
Main responsibilities
Giulia supports the management of a range of liquidity investment portfolios across multiple currencies, combining analytical work, portfolio oversight, and day‑to‑day operational responsibilities, while working closely with teams across the business.
Experience and qualifications
Giulia began her career in the investment industry with a focus on credit risk before joining the Counterparty Risk team at Aviva Investors in 2020. She later transitioned into portfolio management and is now part of the Liquidity team.
Giulia holds an MSc in Finance, as well as the CFA UK Certificate in Investment Management and the CFA Institute Certificate in ESG Investing.
Related profiles
Mirza Baig
Chief Sustainable Investing Officer
We know what it takes to make a difference
It takes working together to drive sustainable transition across People, Climate, and Earth. It takes Aviva Investors.
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