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Aviva Investors Hires New Emerging Market Debt Currency Portfolio Manager
Stephen Little
18 July 2013
, the global asset management business of Aviva, has appointed Liam Spillane as emerging market debt currency portfolio manager. Based in London, he will report to Daniel James, head of global markets. In his new role, Spillane will be responsible for generating qualitative input into the currency overlay process for Aviva Investors’ local currency strategies. He joins from Overlay Asset Management, part of BNP Paribas Investment Partners, where he was a currency manager. Before this, he was a currency manager at BNP Paribas. In other recent news, earlier this month Aviva Investors launched a high yield bond fund. For more on this story, click here.