David Hedalen previously spent 12 years at Abrdn
Aéma Groupe buys Aviva France for €3.2bn
Including its 75% shareholding in wealth manager L’Union Financière de France
Zombie revival, improving fundamentals and monetary policy
The outlook for high yield in 2021
‘Collapsing economic growth’ if 1.5-degree target missed
‘We’re doing this not for pandas and polar bears, but because we care about our shareholder value’
Aviva Investors inks distribution deal across Iberia and LatAm
It has partnered with Madrid-based firm to target Spain, Portugal, Brazil and Uruguay
Aviva Investors unleashes 2020 engagement plan
Equity team will drive dialogue on climate change, with the ESG team in support
The limits of bond fund tracking error
The risk tools look at where you are in the sector and securities in the sector don’t move the same way.
How to navigate rise of passives in EM equities
As cumulative flows into emerging market passive funds surpass active alternatives investors should seek opportunities further down the market-cap scale, Aviva Investors head of emerging markets and Asia Pacific Will Ballard argues.
Italy seen attractive for 2018 despite election worries
While Italy faces election and non-performing loan (NPL) challenges, Aviva Investors believe that its market is looking attractive for investors in 2018 but fund selectors warn the country should not be a core part of a global portfolio.
As market risk increases, is now the time for convertibles? We ask Aviva’s David Clott
We talked to David Clott, head of global convertibles at Aviva Investors and asked him a few questions…