G7 Fixed Income Fund: Aviva Investors

13th Annual European Single Manager Awards 2013


A conservative risk management strategy with strong downside protection accounts for the steady success over the years of Aviva Investors' G7 Fixed Income Fund.

The fund, launched just over a decade ago, has offered a solid if not a stellar performance to investors, bringing in an annualised return of 9.15% with annualised volatility of 2.69% (at April 30, 2013).

"We're very aware that our clients invest with us not because they're expecting us to shoot the lights out but because they see us as a

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