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.
Conflicting forces are buffeting UK equity income investors. Tailwinds include the record low base rate, which is boosting the appeal of dividend income, according to Aviva Investors' James Balfour.
Managers need to 'stick to what they are good at'
Will be head of European wholesale client solutions
Emerging market equities have made a swan-like turnaround this year after five years in the doldrums, writes Will Ballard, head of emerging market and Asia Pacific equities at Aviva Investors.
Other property funds remain suspended
Concerns about contagion risk
Aviva and M&G funds suspended this week