Aviva Investors

since 2008
  • 1,001-5,000 employees
  • Financial Services

Aviva Investors

Welcome to Aviva Investors. The global asset manager that chooses integration.

The future is full of questions. Only by working closely with our clients can we find the answers. That’s why we integrate our whole business around our clients – their goals, their values and the experience they have when they work with us.

That’s why we start by listening closely and understanding their investment aspirations and concerns – from low prospective investment returns, to highly correlated asset prices; from the prospect of rising global interest rates, to the challenges and opportunities of market volatility. Through our vast collective industry experience, we’ve been through every market cycle, making us better prepared for the next one.

Inspired by our deep client insight, we build solutions that aim to defy uncertainty, answering the questions that keep our clients awake at night. From large institutional investors to individuals saving for retirement, we work together to deliver meaningful outcomes, now and over the long run.

That’s why we work hard to join the dots across asset classes to find the best investment ideas; why we break down barriers so our teams can connect seamlessly; and why we manage risk with discipline and rigour. By working in partnership, we bring components together in new ways to ensure our clients get the very best of our collective expertise with every investment.

Please remember the value of an investment and any income from it can go down as well as up. Investors may not get back the original amount invested.

Expertise

Real Estate, Fixed Income, Equity, Multi-asset, Alternative Investments, Multi-strategy, Global Investment Solutions, Real Assets, Sustainable Investing, ESG, Responsible Investing, Liquidity, Insurance, and Pensions

Content

Beyond bonds: Finding diversification in an era of higher rates volatility
  • 1 day ago

Bond markets are jumpy once again following recent political developments. Rising deficits and renewed inflation risk mean bond market volatility, and with it the search for alternative sources of...

Beyond bonds: Finding diversification in an era of higher rates volatility
  • 1 day ago

Bond markets are jumpy once again following recent political developments. Rising deficits and renewed inflation risk mean bond market volatility, and with it the search for alternative sources of...

Decarbonising transport: Five key challenges and how to overcome them
  • 2 days ago

Creating sustainable transport solutions is vital to meet net-zero pledges, but progress has been patchy. To encourage mobilisation across value chains, we brought together a range of sector expert...

Decarbonising transport: Five key challenges and how to overcome them
  • 2 days ago

Creating sustainable transport solutions is vital to meet net-zero pledges, but progress has been patchy. To encourage mobilisation across value chains, we brought together a range of sector expert...

Building bridges to net zero: Mobilising value chains for decarbonisation
  • 3 days ago

From aviation to heavy industry, achieving net zero requires a collective unlocking of entire ecosystems. This is what our sector roundtables aim to do, by bringing together stakeholders from acros...

From tactical to strategic: Investing in emerging-market hard currency debt in your fixed income portfolio
  • 10 days ago

Investors should consider EMD hard currency for a long-term strategic allocation within fixed income portfolios to boost portfolio returns, rather than just a short-term tactical play.

From tactical to strategic: Investing in emerging-market hard currency debt in your fixed income portfolio
  • 10 days ago

Investors should consider EMD hard currency for a long-term strategic allocation within fixed income portfolios to boost portfolio returns, rather than just a short-term tactical play.

US election 2024: Some initial thoughts from our fund managers
  • 22 days ago

Aviva Investors fund managers Edward Hutchings, Liam Spillane and Max Burns offer their initial thoughts on what the US election means for financial markets.

US election 2024: Some initial thoughts from our fund managers
  • 22 days ago

Aviva Investors fund managers Edward Hutchings, Liam Spillane and Max Burns offer their initial thoughts on what the US election means for financial markets.