Aviva Investors is the global asset manager who chooses the power of integration.
With £337bn assets under management across fixed income, equities, real assets and multi-assets spanning 14 countries (as at 31 March 2019), we integrate our whole business around our clients to deliver the outcomes that matter most, now and over the long run.
Bringing it all together for today’s investor.
Please click on the links below to take you to relevant area of the Aviva Investor website.
Funds in Focus
Our Multi-asset Fund range has been specifically designed to support your business and your clients. It contains five risk-managed funds, globally diversified with the aim of delivering consistent client outcomes.
Earning sufficient income without taking an unacceptable amount of risk can seem a daunting prospect. Not least in a world where interest and annuity rates and bond yields are near record lows. However, the potential for reliable income streams and capital appreciation offered by investing in real estate assets could be one solution to this dilemma.
A static fixed income allocation has little chance of out performing in all market conditions. Our Strategic Bond Fund seeks to solve this problem by offering a comprehensive total-return solution, utilising a flexible long-term approach across global fixed income markets
The value of an investment and any income from it may go down as well as up and the investor may not get back the original amount invested.
Unless stated otherwise, any sources and opinions expressed are those of Aviva Investors Global Services Limited (Aviva Investors). These materials are not an investment recommendation and should not be viewed as such. They should not be viewed as indicating any guarantee of return from an investment managed by Aviva Investors nor as advice of any nature. Past performance is not a guide to future returns. For the funds referred to on this hub, Investors’ attention is drawn to the specific risk factors set out in the key investor information document (“KIID”) and Prospectus. Investors should read these in full before investing. See our website for further information: www.avivainvestors.com
Aviva Investors: Quarterly update on drivers in real assets - Q2 2019
Aug 16, 2019
In our regular update on drivers in real assets we assess how real assets could appreciate amid lower long-term rates, we look at how lower bond yields are likely to extend the real estate cycle in the UK, but note that lending at senior level has reduced interest rate sensitivity. more...
Aviva Investors: Italy’s threat to the euro has not gone away
Aug 12, 2019
The Italian government remains on a collision course with Brussels despite recently striking a deal over its 2019 budget. A mis-step by either side could lead to a fresh euro zone crisis that the new head of the ECB might struggle to contain. more...
Aviva Investors: Re-imagining partnerships in infrastructure finance
Aug 7, 2019
While the shape of the UK’s future relationship with its European neighbours is still unclear, the question of how to finance infrastructure fit for the 21st century is equally pressing, argues Darryl Murphy. more...
Aviva Investors: Defying uncertainty in retirement
Aug 5, 2019
The unknowns of the future, complexity of investment markets and unique needs of every individual make ‘defying uncertainty’ a complicated problem for those looking to retire. more...
Aviva Investors: ESG: A keystone for stronger emerging markets
Aug 1, 2019
Economic development is at a crossroads for emerging markets, and the road ahead will need to be paved with environmental, social and governance considerations. more...
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