Description
In the latest episode of our award-winning series we are thrilled to welcome Invesco’s David Aujla back to the Podcast. David manages the Multi Asset Fund range at Invesco as well as the Model Portfolio Services. Within another engaging and entertaining conversation, David tackles the important high-level questions, including his asset allocation preferences, his regional preferences and his management of Geopolitical news flow. In addition, we also learn some very interesting insights on David’s implementation strategy, where he is seeking to find incremental returns for clients, both tactically and structurally.
This podcast is for UK Professional Investors Only. Capital at Risk.
This podcast was recorded on 26th January 2026
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