Aviva Investors Multi-Strategy Target Income

Overview

Fund Strategy Macro
Fund Geography Global
Investment Advisor Aviva Investors
Portfolio Manager Multi Asset Team
Fund Currency GBP
Fund AUM £1.7b
Fund AUM as of 28 September 2018
Fund Inception 01 December 2014
Fund Indices AH Macro UCITS Index
Sub Index - Multi Asset Macro

Fund Objective

The Fund aims to deliver an annual income yield of 4% above the Bank of England Base Rate before corporation tax payable by the Fund regardless of the prevailing market environment. In addition the Fund aims to preserve capital, and to manage volatility to a target of less than half the volatility of global equities over rolling three year periods

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