Why Aviva Investors for multi-asset funds?

We provide investors with confidence in their investment decisions and outcomes. With decades of experience in multi-asset investing, we are established experts at creating and managing diversified multi-asset fund solutions. We organise our whole business around our investors – the outcomes they want and the values they hold. We bring broad and deep asset management experience across all major asset classes, with a focus on risk management, combining our insurance heritage and investment capabilities.

Responsibility is built into everything we do. Doing the right thing for our people, clients and their investments is fundamental to our legacy and long-term success. Acting and investing responsibly makes financial sense and helps create a sustainable future for us all. You can find more detail on how we invest responsibly within each range below.

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Multi-Asset Quarterly Update

Sotirios Nakos, Multi-Asset Portfolio Manager, and Alessandra Legnante, Business Development Manager discuss the key market themes over the past quarter, assess performance and provide an outlook for the next quarter.

Our unique proposition

Multi-asset expertise

We have been trusted to manage multi-asset solutions for more than 40 years, with a multi-asset investment team of over 40 people managing assets of over £90 billion today.

ESG integrated

We aim to invest clients’ money in a responsible way, investing in the good and engaging to drive change. MAF Core uses passive ESG-optimised strategies within its global equity and sovereign allocations, which utilise our own ESG scoring system (based on a number of third-party data inputs1). Our focus on ESG doesn’t end when we make an investment, we believe in ongoing active engagement with the companies we own to encourage sustainable business practice.

Great value

We aim to give clients great outcomes at a competitive cost. We offer transparency on our performance through stated fund benchmarks.

1 Beyond any binding ESG constraints in the Funds, the investment manager retains discretion over final investment decisions, taking into account wider risk factors. MAF Core applies an ESG overlay when investing in developed market equity and sovereign bonds, with the aim to have a have a better ESG score than the underlying markets (MSCI World Index and Bloomberg Global Aggregate Treasuries Index). Global equities also tilt towards companies with a lower carbon intensity than underlying market. The ESG scores used are based on our proprietary modelling based on third-party data inputs, including MSCI ESG scores. 

Explore the Aviva Investors Multi-asset fund ranges

MAF Core

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.

MAF Plus

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 Sustainable Stewardship

Risk-profiled multi-asset portfolios with a focus on sustainable investment linked to our three pillars: Social, Climate and Nature.

Download our customer brochure

For additional information on our MAF funds, download our customer brochure.

Where to invest in Aviva Investors Multi-asset fund ranges

Ask the Fund Manager

A weekly series where multi-asset fund managers give their view on the latest market events, in less than five minutes.

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Key risks

For further information on the risks and risk profiles of our funds, please refer to the relevant KIID and Prospectus.

Investment risk

The value of an investment and any income from it can go down as well as up and can fluctuate in response to changes in currency and exchange rates. Investors may not get back the original amount invested.

Emerging markets risk

The funds invest in emerging markets; these markets may be volatile and carry higher risk than developed markets.

Derivatives risk

The funds use derivatives; these can be complex and highly volatile. Derivatives may not perform as expected, which means the funds may suffer significant losses.

Multi-asset views