Peter Fitzgerald

Profile

Job title

Chief Investment Officer, Macro Discretionary

Work location

London, United Kingdom

Joined Aviva Investors

2011

Joined The Industry

1995

Biography

Main responsibilities

Peter has been the lead portfolio manager on the Aviva Investors Multi-Strategy Target Return Fund, a global macro absolute return fund since its launch in 2014.  He leads a small team of experienced portfolio managers and is a key member of the asset allocation committee.  

Experience and qualifications

Peter began his career in financial services in 1995.  He has lived and worked in Asia, Latin America, Europe and the United Kingdom and has over 20 years’ experience as a portfolio manager.  He joined Aviva Investors in 2011.  Prior to focussing on the Multi-Strategy Target Return Fund, Peter was responsible for the oversight and tactical asset allocation of the multi-asset, pension and with profit funds at Aviva Investors.  He holds a Postgraduate Diploma in Education from Trinity College Dublin and a Bachelors Degree in European Studies from the University of Cork. He is also a CFA® Charterholder.

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