Drawing on Aviva Investors’ global expertise, the outcome-oriented Aviva Investors Multi-Strategy (AIMS) Target Return Fund aims to deliver long-term capital growth while managing volatility.

Sights firmly set on capital growth

The AIMS Target Return Fund is a global multi-strategy fund that is free from benchmark constraints. The fund targets average annual returns of 3 per cent per annum above the Reserve Bank of Australia (RBA) cash rate (before charges) over any rolling three-year period in all market conditions with less volatility than an investment in global bonds.

Minimising volatility

The fund has a second objective, to deliver these returns with less than half the volatility you would typically expect of global equities over the same timeframe – regardless of market conditions. Using a diverse range of long-term investment strategies, the portfolio can also be quickly adjusted to ensure it remains appropriately positioned as the outlook for markets and economies shifts.