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.
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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: The impact of COVID-19 on private debt
Apr 2, 2020
As COVID-19 sweeps across the world, a contraction in global growth is causing an adverse short-term reaction to the economy and financial markets. While the extent of contagion from public markets to private debt remains unclear, transactions with strong downside protection should remain more resilient through the crisis, explains Nikhil Chandra. more...
Aviva Investors: COVID-19: When it comes to pandemics, investors should listen to the real experts
Apr 2, 2020
In early February, with financial markets oblivious to medical experts’ warnings about the dangers posed by the coronavirus, Ian Pizer of Aviva Investors’ investment strategy team began to look into the medical research to learn more about the potential outcomes and the implications for the global economy and markets. more...
Aviva Investors: Is COVID-19 a black swan or a grey rhino?
Apr 1, 2020
The devastating coronavirus outbreak has prompted renewed discussion of “black swans”: rare, unexpected events that wreak havoc on markets and economies. more...
Aviva Investors: Three trends to watch in UK long-income real estate
Mar 30, 2020
In an era of low interest rates and rising maintenance costs, the benefits of long-income assets within UK real-estate portfolios are hard to ignore. Tim Perry looks at three key trends that are influencing the UK long-income market. more...
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