David manages our Global Convertibles Absolute Return and our Global Convertibles Long Only strategies.
Experience and qualifications
David joined Aviva Investors as an equity portfolio manager in 1999 and has since spent most of his career managing both long only and absolute return global convertibles strategies. He co-founded both convertible funds in 2002 and 2009, respectively. From 2014 until his return to Aviva Investors in 2020, David served as a Senior Portfolio Manager on the Westwood Global Convertible Securities team. Additionally, he has been involved in renewable energy investments and research throughout his career, maintaining board representation on two portfolio companies in this area.
David holds a BSc in Finance from Bryant University and an MSc in Energy Policy and Climate Change from Johns Hopkins University. He is a CFA Charterholder.