Asset classes
Real Estate Multi-Manager
Since entering the industry in 1997, Aviva Investors¹ has become one of the largest global real estate multi-manager investors with more than $6 billion² invested through multi-manager strategies. We have invested worldwide and on behalf of leading corporations, public pension funds, and other institutional clients, building one of the longest track records in the industry. We seek superior risk-adjusted returns for our clients by creating broadly diversified and actively managed private real estate portfolios. We execute our strategy by selecting investment vehicles managed by third parties that we believe are best-suited to implement our strategy.
We invest on behalf of our clients in three areas:
Segregated Portfolios
For institutional clients of scale, we create segregated portfolios that are customized to each client's objectives by investing in a range of real estate ventures.
Commingled Investments
We seek to design portfolios with the core objective of consistently achieving superior risk-adjusted returns for our investors on a highly diversified basis.
Secondary Investments
We purchase private equity real estate interests from investors who are seeking liquidity by selling their interests in real estate ventures.
Our team is one of the largest dedicated real estate multi-manager groups in the industry with investment professionals based in New York, London and Singapore. We provide local market expertise and manage relationships throughout Asia, Europe, and the Americas. Our global investment committee, comprised of members from each region, assures consistency in the approach and execution of our strategy.
Contact Details
For further information on our real estate multi-manager services, visit our contacts page.
Library
Our library retains valuable documents detailing our view on global real estate investing.
¹ Includes Aviva Investors Multi-Manager teams based in USA, UK and Singapore.
² As of 31 December 2009.
