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.
Professional investors caused trading suspensions
Q&A with manager of the £1.5bn trust
Political turmoil ahead
Follows retirement of Invesco's Mark Armour
Previously worked at BlackRock and Aviva Investors
Joins Target Income and Target Return
Jupiter vice-chairman Edward Bonham Carter is kick starting the asset management industry's CASCAID charity campaign to raise over £1m for Cancer Reseach UK with a sponsored skydive, while on holiday in New Zealand this week.
Bev Shah previously worked at Aviva Investors
Less than a year after joining Punter Southall Aspire
Extending existing relationship
Conflicting forces are buffeting UK equity income investors. Tailwinds include the record low base rate, which is boosting the appeal of dividend income, according to Aviva Investors' James Balfour.
Walker taking a career break
Managers need to 'stick to what they are good at'
Emerging market equities have made a swan-like turnaround this year after five years in the doldrums, writes Will Ballard, head of emerging market and Asia Pacific equities at Aviva Investors.
Other property funds remain suspended
Group profits up 13%; Dividend hiked 10%
Reports to Will Ballard
Concerns about contagion risk
Aviva and M&G funds suspended this week
Raised cash at the start of the year
Property funds are facing their biggest test since the financial crisis as months of outflows in the run-up to the EU referendum have gathered pace following the Brexit vote.
Suspension was previously extended
Positive return prospects for asset class