We are a global asset manager with integrated expertise across all major asset classes, including real estate, fixed income, equity, multi-asset and alternative investments. Our investment intelligence spans major markets, where we currently invest over £356bn (as at 30 September 2019) on behalf of our customers. As part of the Aviva Group – the UK’s largest insurance company – we are uniquely positioned to combine our insurance heritage with our investment capabilities to deliver the outcomes that matter most to today’s investor.
Aviva Investors’ Head of Investment Strategy and Chief Economist Michael Grady gives a summary of their outlook for global economies and markets.
Political uncertainty causing concerns
To be managed by De Bruin and team
Strengthening position in UK wholesale market
Robert Plaza joins as portfolio manager from Key Private Bank
The emerging market debt universe offers investors an expanding pool of opportunities that may be better assessed when integrating environmental, social and governance factors.
Almost a decade on from the sovereign debt crisis, we explore whether the euro zone's peripheral economies have materially improved or old vulnerabilities will again become apparent as growth slows.
Underperformance still present – for now
How we frame things deeply affects how we process information and subsequently act on it. So much so that, despite convincing evidence to the contrary, it can be extremely hard to shake off a fabled preconception. It seems that once a label sticks it...