Aviva Investors offers our clients access to a diverse range of fixed income strategies with a conservative approach to managing assets that focuses on sustainable long-term returns, not short-term gains.

Our Fixed Income Team of over 100 investment professionals operates on a global platform with investment professionals based in Europe, North America and Asia. Our investment processes are employed across borders so that investment strategies are truly global in nature. We share ideas and research, generating returns from a diversified range of sources. This ensures we are in an excellent position to understand local bond markets as well as the individual investment requirements, wherever our clients are based. Some of our areas of expertise include:

Credit strategies

We offer regional strategies focused on the North America, UK, Europe, and Asia, plus a suite of global strategies bringing together our investment expertise from across the world. Our credit expertise includes building portfolios to match liabilities.

Rates strategies

Our rates teams invest in governments. We offer regional strategies focused on the UK and Europe, and a suite of global Emerging Market strategies.

Multi-Strategy fixed income

To meet broader client needs we offer a suite of strategies that can utilize the entire fixed income universe in a less constrained fashion. These strategies bring together the expertise of our global teams investing in corporations and governments to build truly global bond portfolios. We offer strategies managed on benchmark relative, total return, and absolute return bases.

Other income offerings

We also have expertise in a wide range of income offerings, including:

  • Convertible bonds
  • Infrastructure debt
  • Real estate debt

Past performance is no guarantee of future results. The value of an investment and any income from it may go down as well as up and the investor may not get back the original amount invested.