Biography
Main responsibilities
Martin analyses automotive, pharmaceutical, and healthcare companies within investment-grade and high yield credit markets. He is also responsible for co-ordinating Aviva Investor’s fixed income consumer research across global credit research teams.
Experience and qualifications
Prior to joining Aviva Investors, Martin spent five years working in the Middle East with the Abu Dhabi Investment Authority. He has also held positions with Aberdeen Asset Management and SWIP, where he covered global consumer and industrial credits in Edinburgh and New York.
Martin holds a First-Class Honours degree in Economics & Marketing from the University of Strathclyde and an MSc in Finance from Strathclyde Business School. Martin is also a CFA charter holder.