Biography
Main responsibilities
Harriet is a portfolio manager within the Multi-Asset Funds team. As part of the team, she is responsible for managing performance and generating alpha across a range of multi-asset funds. Harriet also actively contributes to debate that drives our longer-term investment thesis and supports the formation of Aviva’s House View.
Experience and qualifications
Prior to joining the portfolio management team Harriet worked as a senior strategist providing cross asset macro analysis to identify market-driving themes and trade idea generation to add alpha to the firm’s multi-asset funds. Prior to Aviva Harriet worked at COMAC Capital a Global Macro Hedge Fund, as an investment strategist. Previously Harriet also worked as a research analyst in the Macro Strategy team at Nomura. Harriet graduated with a BSc in economics from the University of Bath.