Biography
Main responsibilities
Richard is the lead fund manager for the Global Equity Income Fund and co-manager for the Global Equity Endurance and Social Transition Global Equity Funds.
Experience and qualifications
Richard joined Aviva Investors in 2006 and has been managing income mandates across a range of global portfolios since 2009. Before joining Aviva Investors, he worked for Punter Southall & Co in an actuarial internship role.
Richard holds a Masters in Chemistry from the University of Oxford. He also holds the UKSIP Investment Management Certificate.
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In this article, Richard Saldanha takes a look at four megatrends that are likely to transform companies and markets over the coming years, and how they might create opportunities for equity investors.
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From cash rich to cash strapped? Why the US consumer boom could run out of road
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China versus the West:The ongoing rise of economic nationalism
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Multi-asset allocation views: Cutting through the noise
26 Sep 2023
Issues around US tech, China, US Treasuries and Japanese monetary policy have hit the headlines in recent weeks. Sunil Krishnan explains how taking a long-term view can help multi-asset investors cut through the noise.
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Tipping points and transformation: Getting on the right side of change
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Rapid changes in the global economy could tip some sectors into low-carbon phases faster than incumbents expect, with important investment implications.
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Defensive sectors offer value amid AI frenzy: What next for global equity income investors?
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Dividends proved resilient in the first half of 2023. Richard Saldanha considers what the rest of the year might have in store for income investors.
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Supercharge me: The power of network effects
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Network effects can boost a company’s growth and build durability – when combined with other strengths, argues Francois de Bruin.
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We take a visual approach to explain what’s happening with the US debt ceiling, LVMH and gold.
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Fragilities exposed as cheap money disappears
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Cracks have begun to emerge in the banking sector in recent weeks. As the tide of cheap money that has flooded financial markets for more than a decade ebbs, members of our investment teams are on the lookout for other signs of distress.
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Theory of reflexivity: How share prices can influence companies’ intrinsic value
12 Apr 2023
When markets fall, equity investors should become more constructive on the prospects for future returns. However, as prices fall, intrinsic value may be influenced. Discerning which factors drive this could help investors capitalise and avoid getting caught in value traps.
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Boom! Shake the gloom? Does China’s reopening mark a new beginning?
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China looks set for a rapid economic rebound in the first quarter after finally abandoning its zero-COVID policy. But will the recovery prove temporary as longer-term dynamics reassert themselves?
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Five principles for performance persistence
15 Mar 2023
Barney Goodchild, Francois De Bruin and Richard Saldanha set out the thought process behind our Global Equity Endurance strategy.
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Global equity income: Swimming against the tide
14 Mar 2023
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What does the data say? Three charts multi-asset investors should know about
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We take a visual approach to explain what’s happening with bonds, equities and oil.