Aviva Investors Global Convertibles Absolute Return Fund
The Aviva Investors Global Convertibles Absolute Return Fund seeks to achieve a positive return under all market conditions by capitalising on pricing inefficiencies in the global convertibles markets.
Our focus within the Fund is on taking long and short positions in convertible bonds (usually going long on a convertible bond and shorting exposure to its associated equity) to achieve positions that are close to market neutral. Our emphasis is on shorter-dated, high-quality issues, and we hedge away any unwanted credit and equity risk.
The Fund is managed by our experienced Convertibles Team whose capabilities stretch across the US and Europe to Asia and Japan. This provides us with a flexibility and range of choice that is not available to convertibles investment strategies focusing on one region.
To find out more about this Fund and how it is managed by our well-established Convertibles Team, click on the thumbnail of the fund profile below.
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Fund Profile
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