Aviva Investors is the asset management arm of Aviva plc, a multinational insurance company and one of the largest in the UK, with a strong presence in Ireland and Canada. We are one of the three core businesses of the Aviva Group.

Aviva Investors combines global intelligence with local insight to deliver exceptional investment performance and innovative products. They manage over €250 billion across various asset classes and liquidity is one of their core capabilities.

Aviva Investors offers Euro, Sterling, and US Dollar-denominated short-term and standard money market capabilities. They also provide segregated mandates to suit investors’ cashflow needs and investment policies. Their actively managed strategies aim to diversify cash across high-quality money market instruments, serving as a complement, or alternative, to bank deposits.

A large proportion of their managed liquidity is sourced internally and conservatively handled alongside third-party investors, aiming to ensure great control and visibility. Their money market funds provide same-day access to liquidity, while seeking to diversify risk across high credit quality counterparties to support and seek to provide yields exceeding interbank rates. Their diverse investor base includes large corporates, pension funds, local governments, wealth managers, and individuals. . They have 30 ESG analysts working with the credit team to incorporate responsible practices as part of the investment decision making process.

Other strategies

Insights

The Resilience of MMFs
Read More External Link
Aviva Investors Liquidity Solutions
Read More External Link
Optimising Asset Allocation in Liquidity Pools
Read More External Link