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

Drawing on Aviva Investors’ global expertise, the outcome orientated Aviva Investors Multi – Strategy (AIMS) Fixed Income Fund is an innovative investment proposition designed to grow and protect capital with managed volatility.

Sights firmly set on capital growth

The AIMS Fixed Income 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  aims to achieve its objective return with less volatility than an investment in global bonds, as measured by the long-term volatility of the Barclays Global Aggregate Bond Index. To help in achieving the fund’s objectives, regardless of how financial markets are faring, the fund’s managers combine a diverse range of long-term investment strategies. The portfolio can be quickly adjusted so it remains appropriately positioned as the outlook for markets and economies shifts.