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 £344bn (as at 31st March 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.
All documents are available to download from this website – simply click on any of the right-hand links to view the documents.
Attend live webinars for CPD points. You can claim 45 minutes structured CPD points for each webinar you attend when you join our fund managers for their perspective on the performance of our funds, as well as trade examples which contributed to and detracted from returns. Each webinar will run for approximately 30 minutes with a Q&A session at the end.
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: ESG focus: Malaysia’s chance to clean up
Feb 13, 2019
As the fallout from the 1MDB continues, and Mahathir Mohamad returning to power on an overly ambitious reform agenda, it is easy to be sceptical about Malaysia’s ESG credentials. But as Stanley Kwong explains, the reality is far more nuanced. more...
Aviva Investors: The big interview with David Miliband: The West in retreat
Feb 12, 2019
In our Big Interview, David Miliband talks to AIQ about the growing humanitarian emergency in war-torn countries, the retreat from global engagement by the West and the future of centre-left politics. more...
Aviva Investors: Finding flow: four rules for successful collaboration
Feb 7, 2019
Good collaboration is key to success in almost every field, from business to finance to sport. We explore how organisations can encourage staff to work together to share ideas, avoid mistakes and improve performance. more...
Plastic (not so) fantastic
Jan 31, 2019
The ultra-long lifespan of plastics is proving an ecological challenge. As consumers become alarmed at the environmental contamination caused by synthetic organic polymers, we look at the alternatives and the role of investors in pushing for change. more...
Aviva Investors: Why a US recession in 2019 is unlikely
Jan 28, 2019
Given the apparently close historical relationship between various financial indicators and the economy, some commentators have been quick to talk up the danger of a US recession in view of recent market developments. Such fears appear unfounded, even if growth is likely to slow, argues Michael Grady. more...
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