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Asset classes

Multi-asset funds

Aviva Investors multi-asset fund (MAF) team manages in excess of £75bn* of assets. The MAF team is responsible for utilising asset allocation and security selection to maximise the risk-adjusted returns across our MAF offering.

The team of three draws directly on the skills of Aviva Investors 15-strong strategy team of economists and asset allocation specialists - both strategic and tactical - and the skills of more than 300 investment professionals across Aviva Investors globally with a wide variety of capabilities including fixed income, equities, real estate, alternatives, cash, derivatives and risk management.

* As at 31 December 2010

Our credentials

At the heart of Aviva Investors business.

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Our team

An experienced, highly qualified investment team

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Our process

Specialists are key to delivering results.

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Risk management

We allocate to three sources of alpha generating risk.

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Fund Information

Please click on the links below for further information on our multi-asset pension funds:

Aviva Investors Pensions Balanced Managed 

Aviva Investors Pensions Global Return Seeker

Aviva Investors Pensions Sentinel Managed 

Other fund literature:
Key Features - Aviva Investors Pensions Limited