Profile

Mr. Adrian Jarvis is a Portfolio Manager & Head of Strategy at Aviva Investors Global Services Ltd.
He is responsible for investment strategy, quantitative research and quantitative funds.
He leads the team of Economists, strategy and index Fund Managers and Derivatives Specialists.
He joined Aviva Investors as Norwich Union Investment Management Ltd (NUIM) in February 2000 as a Senior Quantitative Analyst with responsibility for developing NUIM's quantitative research capabilities.
He also spent time as the Interim Chief Investment Officer of Morley Fund Management before its restructuring and rebranding to Aviva Investors.
Prior to joining NUIM, he spent three years at NPI Asset Management, during which time he was promoted from Director of Strategy & Quantitative Analysis to Head of Global Asset Allocation.
He gained extensive investment experience at CIN Management as ab Assistant Director of Global Asset Allocation and Shell International as Senior Quantitative Analyst, before joining NPI.
He joined the investment industry in 1990.
Mr. Jarvis holds a Bachelor of Science and a Master of Science degree in Economics from the London School of Economics, and studied Investment Management at the London Business School.

Former positions of Adrian Jarvis

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Analyst-Equity 30/06/2012
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