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Asset classes

Real Estate Multi-Manager Segregated Portfolios

For institutional clients of scale, we create segregated portfolios by investing in a range of real estate ventures. These portfolios are customised reflecting our client’s individual objectives with respect to risk and return, geographic sector allocations (e.g., UK-only, US-only, pan-European, Global), and cash flow requirements. Target performance can be relative to either a benchmark or an absolute return, depending on the client need.

Since 1997, we have built one of the longest track records in the industry. We have invested worldwide on behalf of leading corporations, public pension funds, and other institutional investors.

General characteristics of our multi-manager investments include:

  • Customisation to meet client specific objectives
  • Professional selection and active management of private equity real estate opportunities
  • Multi-manager strategies provide a high degree of diversification in real estate through one investment
  • Access to top-tier managers by capitalising on Aviva Investors relationships and systematic approach to sourcing, evaluating and investing in real estate opportunities

A separate account approach has the advantage of being tailored to the specific needs of the client.  

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