Aviva Investors is a global asset manager with expertise in real estate, fixed income, equity, multi-asset and alternative investments.
Our investment intelligence spans major markets where we currently invest over £345bn (as at 31st September 2018) on behalf of our customers. This gives us the size and scale to successfully seek out opportunities that will deliver specific investor outcomes.
Please click on the links below to take you to relevant area of the Aviva Investor website.
Aviva Investors Multi-Asset Funds – Explore the fund range with our interactive tool
Information to help you choose the right fund for your client, including risk profile mapping and the ability to review performance.
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: ECB support reveals much about Europe's lenders
Apr 16, 2019
With cheap loans returning to the European Central Bank’s toolkit, questions must be asked again about the health of the region’s banks. more...
Aviva Investors: Cool off: Could proposed Dutch legislation diminish corporate accountability?
Apr 11, 2019
Dutch legislators seem intent to push ahead with controversial proposals intended to rein in shareholder activists and make hostile takeovers more difficult, as Louise Piffaut explains. more...
Aviva Investors: Keeping multi-asset solutions on track
Apr 8, 2019
In an evolving world of tighter monetary policy, increased volatility and moderating growth it is crucial to engineer solutions that can go the distance. more...
Trading places: Why southeast Asia could benefit from US-China spat
Apr 3, 2019
Trade wars have disrupted supply chains and weighed on stock performance in emerging markets. But as manufacturing companies shift production away from China to evade tariffs, some of its neighbours have spotted an opportunity. more...
Aviva Investors: ESG focus: China's green mission
Apr 1, 2019
China's recent emphasis on environmental issues may be a welcome relief to Trump's climate change denials, but is there a disconnect between state rhetoric and the practices of its companies? more...
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