Tim Alt

Portfolio Manager

Main responsibilities

Tim specialises in analysing interest rate and foreign exchange markets, and in managing market risk. In addition he contributes to the US and Latin America macroeconomic outlooks.

Experience and qualifications

Prior to joining Aviva Investors, Tim was a fixed income analyst, specialising in derivatives, at BNP Paribas and in previous roles he was responsible for managing the fixed income derivatives positions for a global bond portfolio. Tim graduated with a BA in Economics from Lawrence University in Appleton, WI. He holds the Series 3 registration with the NFA and the Chartered Market Technician designation. He is also a member of the Market Technicians Association, a CFA® charterholder and is a member of the CFA Institute.