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Asset classes

Convertibles


We believe that there are compelling reasons to invest in this asset class. Convertibles have historically offered superior risk-adjusted returns and are one of the few asset classes that can benefit from higher volatility. With long-only and hedge fund offerings, we now aim to meet the needs of every convertibles investor.


 

Aviva Investors has managed convertible bond funds since January 2000. Our Global Convertible Bond team of two dedicated fund managers and an analyst leverages Aviva Investors substantial asset management infrastructure. The team is split between offices in London and Boston.


The team manages a portfolio of nearly $1.8 billion for a variety of clients. The team’s flagship fund, the Aviva Investors Global Convertibles Fund, was launched in April 2002 and holds assets of nearly $1,9 billion (as at 31 December 2009).


Use the links below for more information on our convertible bond funds:

Our philosophy

Asymmetric return profiles key to superior performance.

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Our process

Aviva Investor’s global investment infrastructure.

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Our investment team

The team consists of three fund managers and one product specialist.

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Risk management

From the outset, we agreed on “foundation” principles.

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Our funds information

Our Global Convertibles Capability fund range.

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