Biography
Main responsibilities
Aaron is Head of Hard Currency Emerging Market Debt and a senior portfolio manager with co-management responsibility for both hard-currency sovereign and corporate bond portfolios. He has been co-managing the hard currency strategy since he joined the team in 2010 and has co-managed the corporate focused strategy since launch in 2012.
Experience and qualifications
Aaron joined Aviva Investors in 2000. Prior to joining the Emerging Market Deb tteam in 2010 he was a Fund Manager in the Liability Driven Fixed Income team with a focus on the construction and management of corporate credit portfolios. Before this he held positions in the Credit team, assisting in the management ofactive sterling and euro corporate strategies.
Aaron is a CFA® charterholder and IMC holder.
Related profiles

Nick Tune
Private Placements Credit Analyst
View profile

Josh Panton
Investment Director
View profile

Sau Mui
High Yield Portfolio Manager
View profile

Pierre Ceyrac
High Yield Portfolio Manager
View profile

Nafez Zouk
Emerging Markets Sovereign Debt Analyst
View profile

Chris Higham
Senior Portfolio Manager
View profile

James Vokins, CFA
Global Head of Investment Grade Credit
View profile

Denis Lehman
Head of Investments, France
View profile

Jonathan Manning, CFA
Portfolio Manager
View profile

Brent Finck
Global Co-Head of High Yield
View profile

Sunita Kara
Global Co-Head of High Yield
View profile

Liam Spillane
Head of Emerging Market Debt and Portfolio Manager, EM Local Currency
View profile

Colin Purdie
Chief Investment Officer, Liquid Markets
View profile