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.
Investment Week celebrated the 20th anniversary of its flagship Fund Manager of the Year Awards at a glittering ceremony at the Royal Albert Hall last night.
Peter Fitzgerald, head of multi-asset at Aviva Investors, analyses the growth prospects for developed and emerging markets and the impact of future central bank actions.
Are fund rationalisations set to continue?
From urbanisation and the rise of a new middle class in emerging markets, to a renewed focus on corporate governance, managers explain which global structural changes are having the greatest impact on their portfolios.
Aviva Investors has appointed Aria Capital Management's James Tothill as head of third party sales.
As equities reach record highs and fresh volatility hits fixed income markets, Investment Week asks if cash is now looking like a more appealing proposition.
Ian Womack, chief executive of Aviva Investors' global real estate business, is retiring from his role, to be replaced by Ed Casal.
‘We want investors to look past Schroders and M&G’
Hermes Real Estate has hired Aviva Investors' manager Philip Nell as a fund director charged with overseeing a new property portfolio at the group.
Insurer Aviva has introduced a "proactive retention programme" in a bid to stem the loss of funds from its asset management business.