Financial investments involve an element of risk. For further information, please see the risk warning section.

Building on our heritage of managing traditional multi asset portfolios, we developed a range of globally unconstrained funds that focus on meeting the needs of today’s investors seeking risk targeted returns.

The Aviva Investors Multi-Strategy (AIMS) funds and these are designed to meet specific outcomes of a consistent long-term return or a sustainable regular income whilst aiming to preserve capital regardless of market conditions.


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.

The Fund uses derivatives; these can be complex and highly volatile. This means in unusual market conditions the Fund may suffer significant losses.

Investors’ attention is drawn to the specific risk factors set out in the fund’s share class key investor information document (“KIID”) and Prospectus. Investors should read these in full before investing.

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