Multi-asset funds are at the core of Aviva Investors business
Aviva Investors multi-asset fund capability has been at the heart of our asset management business for more than a decade. The Multi-asset Funds team (MAF) manages in excess of £75bn* of assets.
This includes Aviva UK and Ireland Life with-profits funds valued at over £45bn*. In addition, we manage Aviva UK and Ireland Life unit-linked funds, Aviva Investors Balanced Managed fund, Aviva Investors Pensions Limited funds and non-Aviva unit-linked and retail funds valued at approximately £30bn*.
Our dynamic investment process is designed to maximise risk-adjusted returns
The MAF team is responsible for utilising asset allocation and security selection to maximise risk-adjusted returns across our multi-asset offering.
We leverage specialist global resources
The dedicated MAF team of three draws directly on the skills of more than 300 investment professionals across Aviva Investors globally, with access to a wide range of capabilities including strategy, fixed income, equities, property, alternatives, cash, derivatives, trading and risk management.
*Source: Aviva Investors as at 31 December 2010.