Asset classes
Why choose Aviva Investors Liquidiy funds?
By combining Aviva Investors vision, scale and expertise with our robust approach to investing, our suite of money market funds offers a variety of pooled solutions for corporate, institutional and public sector investors. In addition, the liquidity team has extensive experience of managing bespoke segregated mandates.
Aviva Investors is committed to delivering client focused service with high levels of transparency.
Scale
- Cash management/fixed income is a core activity to Aviva Investors
- FuM: £25.5bn in cash; £129.4bn in fixed income
- One of the largest Sterling Liquidity Funds in the market
Security
- The principle objective of our pooled products is preservation of capital
- Rigorous and conservative approach to credit
- Structured process adaptive to changing markets
Yield
- Consistent long term track record competitive across product range
Client focus
- Experienced liquidity team committed to building long term relationships based on service excellence
- Regular, proactive and relevant communication with clients
- Products and tailored solutions developed in response to client’s needs
Transparency
- Yield and fund pricing distributed daily
- Portfolio breakdown distributed weekly
- Access to fund managers and credit team
Web-based portal access
- Netcentre
- Third party providers
Contact us
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Colin Cookson
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Julie Attaway |


