Vivek Ahuja
SVP / Portfolio Manager, Research Analyst
Summary
Location:
Singapore, Singapore

Vivek Ahuja is a senior vice president and portfolio manager / research analyst for Templeton Global Macro, based in the Singapore office. He also serves as a portfolio manager for the Asian Bond Fund and other funds. Templeton Global Macro offers global, unconstrained investment strategies through a variety of investment vehicles ranging from retail mutual funds to institutional mandates. Over the last decade, these strategies have collectively received numerous awards.
Vivek Ahuja joined Franklin Templeton Investments in 2006. He specializes in global fixed income and macroeconomics, and has a regional focus on Asia. He also represents the Templeton Global Macro group with clients and other external parties, communicating the team's investment process, positioning and market outlook.
Prior to joining Franklin Templeton Investments, Vivek Ahuja worked (1997-2006) with various financial institutions (including a ratings agency) in the area of Fixed Income Investments and macro research.
Mr. Ahuja earned his bachelor of commerce and master's degree in finance from Mumbai University.
