Dove joins Aviva Investors

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Mark Dove has joined Aviva Investors as a credit portfolio manager within the fixed income investment team.

In the role, Dove is responsible for co-managing high yield and multi-sector fixed income strategies. Based in London, he reports to head of capital opportunities Aaron Grehan.

Aviva Investors reported £246 billion in assets under management as of 30 June 2025.

Dove has almost a decade of industry experience and joins the firm from Federated Hermes, where he has spent the last seven years, most recently as a high-yield and milti-sector credit portfolio manager. He began his career as an analyst at Aberdeen.

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