Fixed Income Capabilities
Unlocking potential in the world’s fixed income markets.
Faced with unpredictable markets, a growth in asset correlation and a wider choice of assets than ever before, the industry’s established benchmarks and strategies are coming up short. Seems like now’s the right time to consider who can deliver a viable alternative.
These days, achieving fixed income diversification means harnessing the local insight that only comes from having an established presence across major world markets. Our fixed income specialists work collaboratively across three continents, sharing expertise across a single platform, whilst enjoying the autonomy that helps them deliver the investment outcomes clients seek.
Our multidisciplinary in-house research helps identify new opportunities. And our proprietary risk management techniques mean we can tailor innovative strategies around clients' specific goals, quickly and with precision.
With over 64% of our asset base in fixed income assets, you're right to expect nothing less than world-class expertise from Aviva Investors.
We are global fixed income specialists.
- £144.8/€173.3/$234.5 billion fixed income assets under management*
Delivering across the fixed income spectrum
- We provide long-only and absolute return strategies across the fixed income spectrum.
- The asset classes we cover include sovereign debt, corporate bonds, high yield bonds, emerging market debt, convertible bonds, currencies and as well as liquidity management
- As well as providing strategies through pooled vehicles, we also design bespoke solutions for insurance companies, pension funds, companies, governmental bodies, sovereign wealth funds, and multi-managers.
All data as at 31 December 2011 to as 30 September 2013