Aviva Investors
Aviva multi-asset fund manager
Aviva Investors is the fund management arm of insurance giant Aviva. It has expertise in real estate, fixed income, equity and multi-asset.
It has £352bn in AUM (as of 30 September 2017) and employs more than 1,400 people worldwide across 15 cities worldwide, including London, Frankfurt and Singapore.
Aviva Investors is part of The Diversity Project, an initiative to boost gender and ethnic diversity within the investment industry. It is also part of Investment 20/20 - in 2017 it took part in a pilot programme to take on three trainees from the scheme.
Aviva Investors appoints co-manager to £915m Endurance fund
Approaching three-year track record
Aviva Investors plans Mount Toubkal climb for CASCAID
Intrepid team to scale Atlas Mountains for charity
Rich pickings in an unloved market
Industry Voice: With valuations at multi-year lows and the UK out of favour with global investors, what's the right approach for a UK equity income manager? Chris Murphy, manager of the Aviva Investors UK Equity Income Fund, says there are some rich pickings...
Update: Bramson's bid for Barclays board seat rejected
AGM yesterday
Value for money: Aviva, Vanguard and HSBC GAM top consumer survey
Boring Money consumer survey
Learning from life and death: Ten years of equity income investing
Industry Voice: Key elements of success are admitting to errors, sharing information and asking the right questions. After 10 years at the helm of the UK Equity Income Fund, Chris Murphy shares his lessons learned.
The most consistent 'veteran' managers over the past decade
Investment Week research
Absolute return funds post double-digit losses in Q1 while small-cap and tech mandates leap ahead
City Financial fund named the worst
US-China tension requires "flexibility", says David Cumming
Besides Brexit, David Cumming, Aviva's chief investment officer for equities, identifies two other major macroeconomic influencers that might impact the UK
Director or dictator?
Industry Voice: Star CEOs are bringing into question what makes a good leader in a flatter, networked world. We explore what this means for the overall governance of companies
Schroders names replacements for global marketing head Cardew
Beckett and Saint to share responsibilities
Managers move to target ESG at every level
Aviva Investors' chief investment officer for equities, David Cumming, discusses how his team have integrated ESG factors into their decision-making process
Will UK equities bounce back?
David Cumming, Aviva Investors' chief investment officer for equities, remains positive about UK stocks despite a pummelling in 2018
Square Mile's Broomer shifts back into UK active funds after 'fighting a losing battle'
Purchasing UK equity products for first time in a year
Aviva Investors appoints ESG research head
New co-heads of credit research
MiFID II costs blamed for profit fall at Aviva Investors as redemptions hit £7bn
AUM declines by £20bn
Asset managers must #talkaboutblack or lose out
Confronting the industry's lack of BAME fund managers
Aviva Investors' Flockhart buys into SJP in UK Listed Equity Unconstrained fund
Turned over 40% of fund
Why the UK has created 'the perfect environment' for M&A
While our politicians, the media and many investors have their attention fixated on the Brexit negotiations, UK management teams have been getting on with the day job - and deal-making is on the agenda.
Aviva Investors bolsters credit team
Newly created role
Plastic (not so) fantastic
Industry Voice: The ultra-long lifespan of plastics is proving an ecological challenge. As consumers become alarmed at the environmental contamination caused by synthetic organic polymers, we look at the alternatives and the role of investors in pushing...
Aviva Investors unveils double fund launch following hiring spree
Two global products join line-up
ESG Spotlight
In Association with Aviva Investors
Ethics & alpha: Can investing responsibly enhance returns?
Steve Waygood, chief responsible investment officer at Aviva Investors, takes an in-depth look at the relationship between responsible investing and performance.