Biography
Main responsibilities
Aaron is Deputy Head of Emerging Markets Debt and a senior portfolio manager with co-management responsibility for both hard-currency sovereign and corporate bond portfolios. He has been co-managing the hard currency strategy since he joined the team in 2010 and has co-managed the corporate focused strategy since launch in 2012.
Experience and qualifications
Prior to joining the Emerging Markets Debt team in 2010, Aaron was a fund manager in the Liability Driven Fixed Income team with a focus on the construction and management of corporate credit portfolios. Before this, he held positions in the Credit team, assisting in the management of active sterling and euro corporate strategies, and Performance Measurement. Aaron holds the IMC and is also a CFA® charterholder.
Related profiles
Carmen Altenkirch
Emerging Markets Sovereign Analyst
Michael McGill
Senior Portfolio Manager
Devin Cameron
EMD Corporate Analyst
Emilia Matei
ESG Analyst, Emerging Market Debt
Amy Kam
Senior Portfolio Manager
Nafez Zouk
EMD Sovereign Analyst
Kurt Knowlson
Senior Portfolio Manager
Liam Spillane
Head of Emerging Market Debt and Portfolio Manager, EM Local Currency
You might also be interested in
-
Bond Voyage: A journey into fixed income
9 Dec. 2024
This month, we explore how US Treasuries are taking a breath, why 2025 could be the year of carry for high yield, what increasing dispersion means for emerging markets, and how surging M&A activity could affect investment-grade bonds.
-
From tactical to strategic: Investing in emerging-market hard currency debt in your fixed income portfolio
18 Nov. 2024
Investors should consider EMD hard currency for a long-term strategic allocation within fixed income portfolios to boost portfolio returns, rather than just a short-term tactical play.
-
US election 2024: Some initial thoughts from our fund managers
6 Nov. 2024
Aviva Investors fund managers Edward Hutchings, Liam Spillane and Max Burns offer their initial thoughts on what the US election means for financial markets.
-
Bond Voyage: A journey into fixed income
4 Nov. 2024
This month, our fixed-income investment teams discuss US elections, IMF meetings, US versus European high yield, managing declining rates for cash, and what the future might hold in store for gilts.
-
Illiquidity premia in private debt: Q3 2024
30 Oct. 2024
In our latest private markets deep dive, our research team crunches the data to see how evolving macro conditions are reflected in private debt returns.
-
Power play: Why political risk matters for emerging-market debt investors
11 Oct. 2024
In this article, we explore why measuring and continually monitoring geopolitical risks is essential for investors in EM debt.
-
Bond Voyage: A journey into fixed income
10 Oct. 2024
In our October edition of Bond Voyage, our fixed-income teams reflect on US elections, US rates, France’s slide towards the periphery of EU issuers, and ESG considerations in Asia.
-
Standing tall: Three factors behind the resilience of emerging-market debt
13 Sep. 2024
In this article, we explore what’s behind emerging markets’ impressive performance in the face of global economic volatility, and investigate how EM debt investors can take advantage.
-
Time to get active: Finding opportunities in emerging-market debt
30 Jul. 2024
Emerging markets have remained robust amid the economic and political uncertainties of 2024, but active management will be important if debt investors are to identify standout performers over the coming months.
-
Bond Voyage: A journey into fixed income
10 Jun. 2024
This month, we discuss fiscal discipline in emerging markets, investment-grade credit portfolio construction, potential opportunities for sovereign investors in Canada and the merits of a developed-market focus in global high yield.
-
Emerging-market debt turns the corner: The EM investment universe grows amid improved resilience
21 May 2024
Emerging-market debt analyst Carmen Altenkirch reports back from the recent International Monetary Fund (IMF)/World Bank meetings in Washington.
-
Bond Voyage: A journey into fixed income
13 May 2024
This month, we discuss Spring Meetings and the path for rates.
-
New Delhi eyes the debt markets: Are Indian bonds the next big thing?
25 Apr. 2024
With Indian debt set to be included in major international benchmarks this year, emerging-market sovereign debt analyst Nafez Zouk travelled to the country to assess its prospects.
-
Bond Voyage: A journey into fixed income
9 Apr. 2024
In the April edition of our monthly series, we explore the latest developments in fixed-income markets.
-
Bond Voyage: A journey into fixed income
11 Mar. 2024
In the latest instalment of our monthly series, our investment-grade, high-yield, emerging-market and global sovereign bond teams explore the key talking points in fixed income.
-
Bond Voyage: A journey into fixed income
7 Feb. 2024
In the latest instalment of our monthly series, our investment-grade, high-yield, emerging-market and global sovereign bond teams look ahead to the key themes that are likely to shape fixed-income markets in 2024.