Aviva Investors Strategic Bond Fund
The Aviva Investors Strategic Bond Fund invests across the full spectrum of fixed income markets, allocating assets according to where we believe we are in the global economic cycle.
Fixed income is a diverse asset class. From the relative safety of government bonds to more adventurous high yield and emerging market bonds, the complex landscape can sometimes prove difficult to navigate. Throw in an ever-changing macroeconomic environment that means no one type of bond outperforms in all market conditions and investors may struggle to stay on top of their asset allocation choices.
The decision-making process starts with an assessment of the wider macroeconomic environment and the potential impact this could have on the strategic tilt of the portfolio. This is then supplemented with quantitative analysis and qualitative research based on the experience of our portfolio management and research teams. This ensures that only the best ideas make it into the portfolio and gives us the confidence to aim for performance in the top quartile of our Sterling Strategic Bond peer group.
To find out more about this Fund and its investment process, click on the thumbnails of the documents below.
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Fund profile
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Fund Factsheet | |
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| Aviva Investors Strategic Bond Fund | ![]() |
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