Aviva Investors - Global Convertibles Fund A USD Acc

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Management
DomicileLuxembourg
Legal StructureSICAV
UCITSYes
Inception Date20/11/2006
Fund Advisor(s)
Aviva Investors Global Services Limited
Fund ManagerShawn Mato
Manager Start Date26/09/2016
Career Start Year1994
Education
University of New Hampshire, B.S.
Fordham University, M.B.A.
 
Biography
Shawn manages Aviva's Global Convertibles Absolute Return strategy and Global Convertibles Long Only strategy. Prior to his Senior Portfolio Manager position at Aviva Investors, Shawn worked at Westwood. Shawn has co-managed the long only Global Convertible Bond strategy since 2004 and the absolute return Global Convertible Securities strategy since its inception in 2009. Before that, he was an equity analyst at Aviva Investors. Prior to 2002, he was a Research Associate at Dresdner Kleinwort Wasserstein, a Financial Consultant at Deloitte and Touché LLP, and held a variety of roles at Nomura Securities. Shawn earned a BSc in Business Administration from the University of New Hampshire and an MBA in Finance with Honors from Fordham University. He is a CFA Charterholder and CAIA Charterholder. He is also a member of the CFA Institute, the Boston Security Analysts Society and Chartered Alternative Investment Analyst Association.
Fund ManagerBrendan Ryan
Manager Start Date12/04/2023
Career Start Year2004
Education
Boston College, B.A.
 
Biography
Brendan Ryan, CFA, is a Partner of Beaumont Capital Management, a position held since January 2020. Brendan helps lead the firm’s investment activities with a focus on fundamental analysis. He contributes to ongoing market research, product enhancement and development, as well as thought leadership. Additionally, as a Partner of the firm, Brendan assists in overseeing all business, finance, and distribution activities of BCM. He serves on the BCM investment committee and is additionally responsible for assisting with trading of the BCM strategies and operational support. Prior to that, he worked in Beaumont Financial Partners, LLC’s wealth management division, where he focused primarily on fundamental equity research from 2012 to 2018. He worked for Brown Brothers Harriman & Co. after receiving his B.A. in Economics from Boston College. Mr. Ryan’s primary role is Portfolio Manager for the firm's strategies, with a focus on fundamental analysis. He serves on the firm's investment committee and is additionally responsible for assisting with trading of the BCM strategies, operational support and special projects as needed. He currently holds the Series 65 securities license and is a CFA® Charterholder.
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