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

Multi-asset chart of the month for April: Strangled strait
  • 27 Apr 2026

With Iran and the US competing to block the Strait of Hormuz, oil, gas and fertiliser trade disruptions are impacting markets.

Strangled strait
  • 27 Apr 2026

With Iran and the US competing to block the Strait of Hormuz, oil, gas and fertiliser trade disruptions are impacting markets.

The week in markets
  • 24 Apr 2026

A turbulent week in markets as oil surged back above $100, inflation fears reignited, and markets whipsawed between escalation risk and uneasy calm.

Bond Voyage: Oil shocks without the drama
  • 09 Apr 2026

The reaction to the latest oil price shock provides further evidence that those countries which have taken steps to strengthen their financial position are being rewarded by bond investors.

The seven deadly sins of investing: Avoiding damaging behaviours
  • 08 Apr 2026

Peter Smith delves into seven common behaviours that can be damaging for investment returns – and explains how to avoid them.

Q2 2026 House View
  • 26 Mar 2026

No one can predict the future. But our quarterly House View sets out the collective wisdom of our investment teams on the current state of global markets – and where they might be heading.

Multi-asset chart of the month for March: Wild moves in the oil price
  • 24 Mar 2026

The price of oil recently reached four-year highs. Will this be a short-lived shock or a long-term issue?

Wild moves in the oil price
  • 24 Mar 2026

The price of oil recently reached four-year highs. Will this be a short-lived shock or a long-term issue?

Bond Voyage: Markets repricing as Gulf conflict threatens energy shock
  • 12 Mar 2026

The ongoing conflict in the Middle East continues to impact the markets while inflation expectations are recalibrated.