Financial investments involve an element of risk. For further information, please see the risk warning section.
Collaboration is at the heart of our highly successful and well-resourced multi-asset team. We bring together our full global capabilities drawing on the skills of our investment professionals across fixed income, equities, real estate, alternatives, cash, derivatives and risk management to develop the best investment ideas.
As a firm, we have considerable expertise in running multi-asset and multi-strategy portfolios, backed by a multi-asset pedigree stretching back over 30 years and an investment team managing over €118 billion1 in multi-asset strategies.
1 Source: Aviva Investors as at 30 September 2017
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.