11 Apr 2025
The built environment generates almost two-fifths of global emissions, but decarbonising the sector will require a coordinated effort. ... We brought together experts across the value chain to discuss shared challenges and solutions.
15 Aug 2024
Find out more information here. ... The EU Sustainable Finance Disclosure Regulation (SFDR) is a new set of European Union rules that came into effect on March 10, 2021, with the goal of making the sustainability profile of funds more comparable and easy to understand for investors.
11 Feb 2025
Find out more information here. ... A capital efficient way of putting excess cash to work. ... Our approach to short-dated bonds ... Aviva Investors’ ReturnPlus Fund draws on a range of credit spread premia to optimise returns from strategic cash while mitigating risk and maintaining liquidity.
12 Apr 2025
View the digital factsheet to access performance data, portfolio and holdings details, management information and fund documents
12 Apr 2025
View the digital factsheet to access performance data, portfolio and holdings details, management information and fund documents
12 Apr 2025
View the digital factsheet to access performance data, portfolio and holdings details, management information and fund documents
12 Apr 2025
View the digital factsheet to access performance data, portfolio and holdings details, management information and fund documents
12 Apr 2025
Capital at Risk. To generate a positive return in all market conditions, on average 5% per annum above the Bank of England Base Rate, whilst also aiming to manage volatility to a target of less than half that of global equities. These aims are measured over rolling three-year periods before charges and taxes and are not guaranteed so investors’ capital is at risk.
12 Apr 2025
Capital at risk. To increase the value of the Shareholder's investment over the long term (5 years or more)
12 Apr 2025
Capital at risk. To earn income and increase the value of the Shareholder's investment, while outperforming the Barclays Global High Yield Excl CMBS & EMG 2% Cap Index over the long term (5 years or more).