Dan Bright, CFA

Junior Portfolio Manager, Multi-asset & Macro

Joined Aviva Investors in 2016

Main responsibilities

Dan is a Junior Portfolio Manager in the sovereign rates team, responsible for contributing and implementing investment ideas across global investment grade sovereign rates and FX.

Experience and qualifications

Dan joined the Global Rates team in 2021 having previously been an analyst in our Equity team. His focus was on investment opportunities globally that offered income with sustainability, which often extended across other asset classes including fixed income. Prior to that he worked in the Real Assets team, primarily looking at direct real estate opportunities. He joined Aviva Investors in 2016, holds a BA in Economics and Management from Oxford University and he is a CFA® Charterholder.