Our approach

Our experienced pan-European team, based in London and Paris, work collaboratively to apply a rigorous, stock-driven approach. We focus on identifying companies that have improving fundamentals and we incorporate environmental, social and governance considerations to complement risk oversight. The team share a common investment language with regional equity colleagues to help connect research and decision-making across regions and industry sectors.


Our experience, scale and connected thinking approach to investing provides clients with compelling income, capital growth and sustainable investment solutions.


Our investment team are based in both London and Paris. They have over 17 years' investment experience1 and work collaboratively to harness opportunities across the investment universe.


We manage over €13bn in European equities strategies.2 This provides high levels of corporate access that feeds into our 'future-focused' stock research.


Strong application of ESG into investment propositions, as well as specific SRI-labelled3 and sustainable outcome equity portfolios.

Key risks

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

The value of an investment and any income from it can go down as well as up. Investors may not get back the original amount invested.

Strategies in focus

Climate Transition Equities

A range of strategies investing in companies that can play a major role in the transition to a low-carbon world.

Find out more

Explore all funds

Access key fund documentation and performance reports.

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Need more information?

For further information, please contact our investment sales team.

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1. Source: Aviva Investors, as at 31 March 2020.

2. Source: Aviva Investors, as at 30 June 2019.

3. The SRI (socially responsible investing) label was created and supported by the Minstry of Finance in France.