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Aviva Investors Global Convertibles Fund

Convertible bonds offer investors an attractive, asymmetric investment opportunity compared to traditional fixed interest investments.

The optionality inherent within convertible bonds means investors can participate in some of the upside potential of equities and some of the downside protection of bonds.

The Aviva Investors Global Convertibles 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.

Our approach aims to capitalise on the significant pricing inefficiencies produced by the complex nature of this asset class. Focusing on the hybrid area of the convertible bond universe, which, in our view, provides superior risk-adjusted returns, we combine top-down views with bottom-up analysis to identify stocks with strong underlying equity and credit fundamentals.

To find out more about this Fund and how it is managed by our well-established Convertibles Team, click on the thumbnail below.

Fund Profile
Capabilities brochure
Aviva Investors Global Convertibles Fund
Aviva Investors is a business name of Aviva Investors UK Funds Limited, a distributor of the Fund. Aviva Investors Global Services Limited is the Authorised Fund Manager of the Fund.