Skip to content

Market & Views

Peter Fitzgerland, Head of Multi Assets at Aviva Investors

on opportunities in Multi-Assets and the importance of differentiation in a highly competive market place

 

David Skinner, CIO Real Estate at Aviva Investors

on the return of global economic growth and what it means for Real Estate in different sectors and regions.

 

Shamik Dhar, Head of Multi-Asset Research at Aviva Investors

on asset allocation and possible implications of rising interest rates.

 

 

David Lis, Head of Equities at Aviva investors

on where to find value in equities and which sectors he thinks look attractive.

Global High Yield – Update and Outlook

Sunita Kara, Fund Manager, gives us an update and outlook for both Global High Yield and Short Duration High Yield Bonds.

 

Emerging Market Debt

Valentina Chen, Head of Emerging Markets Local Currency debt, discusses the outlook for Emerging Market Debt, as well as the changing backdrop over recent times.

 

Real Estate Multi Manager Update and Outlook

John Gellatly, Global Real Estate Multi Manager, gives his outlook for the year ahead.

 

Update and Outlook for Emerging Market Debt

Aaron Grehan, Head of Emerging Market Corporate Bonds at Aviva Investors, discusses the big issues currently affecting this asset class.

 

Update and outlook for Multi-Asset Investing

Peter Fitzgerald, Head of Multi Asset Investing, discusses the economic backdrop as well as the outlook for Multi Asset.

 

Global Convertible bonds - Outlook & Update

David Clott CFA, Shawn Mato CFA, Justin Craib-Cox CFA 

Global Convertibles – Update and Outlook

Justin Craib-Cox, Co-Manager of both the Aviva Investors Global Convertibles and Global Convertibles Absolute Return Funds, gives his views on the major influences on his forecast for 2014.