Asset classes
SRI
The main aim of our Sustainable and Responsible Investments (SRI) team is to deliver top-performing funds while incorporating an understanding of social, environmental and corporate governance issues into the way in which we manage money.
We do this by actively investing in companies providing solutions to social and environmental problems, and avoiding companies which exacerbate them.
We also use our influence as shareholders to promote good practice among those companies in which we invest. We focus on areas where we believe improved management of social, environmental or governance issues will enhance or protect shareholder value.
Our view is that the world economy needs to move to a more sustainable model in order to address the significant social and environmental problems that the current global economic model has created. For these reasons, we believe that those companies conducting their business in a sustainable and responsible manner are more likely to succeed over time.
We have established ourselves as market leaders in this asset class, having managed SRI funds since 2001 and garnered numerous industry awards. We offer a broad range of products that enable Investors to benefit from the shift to a more sustainable economy.
Use the links below for more information on our SRI capability.
Our philosophy
We believe we have identified a significant area of the economy where the market regularly mis-prices future profits of companies.
Our process
Security selection begins with a broad universe of medium and large capitalisation companies.
Our funds information
Aviva Investors expertly managed range of Sustainable Future Funds cover world bond and equity markets, designed to meet the needs of a wide variety of investors.
