Ed is a portfolio manager on a number of our Emerging Markets and Asia Pacific equity strategies.
Experience and qualifications
Prior to joining Aviva Investors, Ed worked for State Street Global Advisors as a passive equity fund manager and quant research assistant. Before this, he worked for PanAgora Asset Management as a marketing assistant. Ed holds an MA (Hons) in Mathematics from Oxford University and an MSc from Essex University. He also holds the UKSIP Investment Management Certificate.
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Government bonds have not acted as safe haven assets recently. Sunil Krishnan explores whether this spells the end of the traditional 60/40 allocation in multi-asset portfolios.
Convertible bonds: Five questions with David Clott
19 Jul 2022
In the first of a new series, David Clott assesses the key recent developments in the convertible bond market and outlines why this could be an attractive entry point into the asset class with Rico Pedrett.
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