On Tuesday the FCA published its Sustainability Disclosure Requirements (SDR) and investment labels consultation paper.
In our video, Senior Investment Director Andy Ford, speaks to Global Responsible Investment Senior Manager Jess Foulds, asking; what are the FCA hoping to achieve? What do advisers need to do in response to the consultation? And, where will the FCA turn their attention to next?
Explore the Aviva Investors Multi-asset fund ranges
A simple multi-asset investing solution that invests in Growth and Defensive assets. The asset mix for each MAF Core fund is reviewed by the investment team on a quarterly basis.
A comprehensive multi-asset investing solution that invests in Growth, Defensive and Uncorrelated assets. Each MAF Plus fund benefits from day-to-day portfolio management.
MAF Core in focus
Welcome to MAF 2.0: Why expertise, ESG and value for money must be part of the package
10 Nov 2022
To meet the evolving needs of clients, a robust multi-asset strategy must be built around three principles: investment expertise, ESG integration and value for money.
MAF Core: A multi-asset solution for multiple client types
10 Nov 2022
Our MAF Core range is designed to appeal to a broad range of investors. Shane O’Brien introduces five client types who may find MAF Core an attractive addition to their portfolios.
Forget the naysayers: Why ESG is a key pillar of MAF investing
20 Oct 2022
Despite experiencing a backlash in 2022, it’s worth remembering why integrating ESG is so vital to a robust investment process, explains Shane O’Brien.
Know your stuff: Why success in multi-asset investing is more than potluck
13 Oct 2022
Building robust multi-asset portfolios is not a game of chance. We explain how expertise is a key pillar of our MAF Core range.
More bang for your buck: How value is changing in multi-asset strategies
22 Sep 2022
In a world of high inflation and rising borrowing costs, every penny counts. We understand this, which is why value for money is the key pillar of the Aviva Investors Multi-asset Core Fund range.