Robert Corbally, product development manager at Aviva Investors, outlines four handy hints to consider when picking a structured product for your client
Justin Onuekwusi, multi-asset fund manager at Aviva Investors, says high yield bonds and equities may well reward investors looking to gradually increase risk.
Aviva Investors' Justin Onuekwusi has increased his exposure to risk assets across his multi-asset portfolios in recent months, including taking his first positions in high yield debt.
Ian Aylward, senior portfolio manager at Aviva Investors, reveals what you need to consider before allocating a portion of client assets to absolute return funds.
In the latest Interactive Financial Adviser debate, our panellists from Aviva Investors, Rathbone Unit Trust Management and Standard & Poor's discussed Multi-Manager.
In the latest Interactive Financial Adviser debate, our panellists from Aviva Investors, Rathbones and S&P discussed multi-manager.
Chris Urwin, global research manager - real estate at Aviva Investors, looks at where the best opportunities lie for global real estate investors.
Aviva Investors has launched the first in a new range of structured products, created in response to demand from financial advisers for funds that can deliver attractive returns in a low interest rate environment.
Aviva Investors has merged three manager of manager funds into its multi-asset portfolios.
Aviva Investors' Chris Higham has slashed risk exposure in his £1.6bn Corporate Bond and £96m Strategic Bond funds, shifting 25% of the portfolio into cash on fears of a bubble forming in risk assets.