David Clott, CFA
Senior Portfolio Manager
Joined Aviva Investors
Joined The Industry
David manages our Global Convertibles Absolute Return strategy and our Global Convertibles Long Only strategy.
Experience and qualifications
David joined Aviva Investors as an equity portfolio manager in 1999 and spent 15 years managing both long only and absolute return Global Convertible securities strategies, and co-founded Aviva Investors' convertible funds in 2002.
In 2014 David joined Westwood holdings and served as Senior Portfolio Manager, leading the firm’s Global Convertible Securities team. Additionally he was involved with developing the Westwood’s ESG strategy and chaired their responsible investment committee.
David is a CFA charter holder and graduated with a Bachelor of Science in Finance from Bryant University. Currently, he is pursuing a Master of Science in Energy Policy and Climate Change from Johns Hopkins University.