Referat Aviva Investors
Dienstag, 21. Januar 2020, 12:00 - 12:45 UHR
Seminarraum II
English
Referent(en): Barney Goodchild
With the US Presidential Election, continued Geopolitical uncertainty and slowing global growth, 2020 will be another challenging year for investors to negotiate. In this session we provide our outlook for Emerging Market Debt in 2020.
Investment Specialist, EMD, Aviva Investors
Barney is an investment specialist focused on Emerging Market Debt. He works closely with our portfolio managers to articulate their investment process, portfolio positioning and investment performance to clients and consultants around the world.
Prior to joining Aviva Investors, Barney worked as an Economist for the UK Government Economic Service. Barney holds a Bachelor’s degree in Economics from the University of Sheffield, and is a CFA® Charterholder and is an IMC holder.
Aviva Investors is the global asset manager who chooses the power of integration. With £337bn assets under management across fixed income, equities, real assets and multi-assets spanning 14 countries*, we integrate our whole business around our clients to deliver the outcomes that matter most, now and over the long run.
Bringing it all together for today’s investor.