We offer investment grade and high yield strategies.
Fixed income investing should be thought of in two parts: macro and credit. This is because the macroeconomic trends that influence government bonds and currencies can be quite distinct from issues that arise at a corporate level.
In many ways fixed income investors have more in common with multi-asset and asset allocation strategists. That’s why, our macro fixed income team form part of our broader multi-asset and multi-strategy team.
Similarly, credit investors think at a corporate enterprise level and therefore have much in common with equity analysts and investors. Our credit portfolio management and analyst team, therefore, collaborate very closely with their equity counterparts. This allows a holistic view to be taken over the entire capital structure of a company and sector.
Coronavirus: Can central bankers calm investors’ nerves?
Listen to our live panel on-demand to hear our investment views. Jerome Nunan speaks with Mark Robertson Multi-strategy, Sunil Krishnan Multi-asset and Liam Spillane, Emerging Market Debt on the coronavirus and what it has meant for the assets they manage, and the outlook for their capabilities.
Strategies in focus
Aviva Investors Multi-Strategy (AIMS) Fixed Income
An outcome-oriented fixed income strategy with a focus on diversified sources of return and downside protection.
A range of strategies that aim to capture the full potential of high yield bond markets whilst protecting downside risk.
A talented team of investors
Chief Investment Officer, Credit
Global Head of High Yield
Head of Rates and Portfolio Manager, AIMS Fixed Income and Target Return Funds
Head of Emerging Market Debt and Portfolio Manager, EM Local Currency
Head of UK Investment Grade Credit
Global Head of ESG Research
Head of Investments, France
Need more information?
For further information, please contact our investment sales team.