Profile
Mr. Matthew O.
Williams is Head of Portfolio Management Group at Aviva Investors Global Services Ltd.
He joined Aviva Investors in April 2015 and the Portfolio Management Group in 2000, having been a Bond Fund Manager at Prudential (now M&G) since 1991.
His responsibilities are to ensure that the investment specialists working on all aspects of Prudential Unit Trusts and Unit Linked funds are focused on adding value at every stage of the investment process.
Furthermore, Mr. Williams has specific responsibility for implementing asset allocation views within the multi-asset funds of the same ranges.
Prior to joining Prudential, he was a Bond Fund Manager at Morley Asset Management (then Commercial Union Asset Management), and as well as employing his expertise in bonds and asset allocation, he is also one of the group’s experts in the use of derivatives.
Mr. Williams graduated from York University in 1989 with a BA (Hons) in Mathematics.
Former positions of Matthew Owen Williams
| Companies | Position | End |
|---|---|---|
M&G Investment Management Ltd.
M&G Investment Management Ltd. Investment ManagersFinance MAGIM follows a bottom-up approach to select equities, seeking to identify companies with clear corporate strategies, strong finances, hard-to-replicate assets and talented management. | Portfolio Manager-Equities | 2015-04-30 |
Aviva Investors Global Services Ltd.
Aviva Investors Global Services Ltd. Investment ManagersFinance AIGSL is an active, research-oriented manager which invests in all major asset classes including equity, fixed-income, real estate and cash. They also have expertise in SRI and alternative investments. The firm manages equity funds and fixed-income funds, following long-only and hedged strategies. They specialize in UK-related markets and share research globally throughout Aviva divisions. AIGSL employs a bottom-up investment process based on fundamental financial analysis and valuation and informed by top-down macro-economic research. They select stock by focusing on favorable industry sectors and utilize a dividend discount model. Determinant criteria include return on assets, price-to-book ratio and a low historical price-to-earnings ratio. | Director of Investments | - |
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Inactive
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1st degree connections
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Linked companies
| Private companies | 2 |
|---|---|
M&G Investment Management Ltd.
M&G Investment Management Ltd. Investment ManagersFinance MAGIM follows a bottom-up approach to select equities, seeking to identify companies with clear corporate strategies, strong finances, hard-to-replicate assets and talented management. | Finance |
Aviva Investors Global Services Ltd.
Aviva Investors Global Services Ltd. Investment ManagersFinance AIGSL is an active, research-oriented manager which invests in all major asset classes including equity, fixed-income, real estate and cash. They also have expertise in SRI and alternative investments. The firm manages equity funds and fixed-income funds, following long-only and hedged strategies. They specialize in UK-related markets and share research globally throughout Aviva divisions. AIGSL employs a bottom-up investment process based on fundamental financial analysis and valuation and informed by top-down macro-economic research. They select stock by focusing on favorable industry sectors and utilize a dividend discount model. Determinant criteria include return on assets, price-to-book ratio and a low historical price-to-earnings ratio. | Finance |
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