Gary Hehir

Gary Hehir

Portfolio Risk Analyst

Joined investment industry in 2005

Experience & qualifications:

Gary joined Aviva Investors in January 2009 as a Portfolio Risk Analyst. He is responsible for developing and analysing investment risk management activities within Aviva Investors Ireland. Previous to this, Gary worked in Statestreet for a number of years as a risk analyst and in Bisys as a fund accountant.

Gary holds a BSc in Mathematical Sciences and Computing from the University of Limerick. He is also currently studying for the  Financial Risk Manager (FRM) exams.