Aviva Investors Absolute Return Funds
Aviva Investors Absolute T250 Bond Fund
Macro fixed income strategy with strong downside risk management focusing on macro and asset allocation opportunities alongside relative value plays.
Aviva Investors Index Opportunities Fund
A truly alternative strategy offering equity-like absolute returns, but with significantly lower volatility and near-zero correlations with all major asset classes.
Aviva Investors Global Convertibles Absolute Return Fund
A global strategy targeting a positive return under all market conditions by identifying mis-pricing opportunities largely in short-dated higher quality global convertibles.
Aviva Investors Sustainable Future Pan-European Absolute Return Fund
A market directional approach investing in Pan-European Blue Chip Equities using Sustainable and Responsible Investment themes.