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
At the heart of Aviva Investors business.
An experienced, highly qualified investment team
Specialists are key to delivering results.
We allocate to three sources of alpha generating risk.
Please click on the links below for further information on our multi-asset pension funds:
Other fund literature:
Key Features - Aviva Investors Pensions Limited