Funds by Aviva Investors Luxembourg SA

Fund & Sector
1 Month Perf.
1 Year Perf.
3 Year Perf.
5 Year Perf.
OCF
Aviva Investors EMkt Eq SmCp
FO Equity - Emerging Markets
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2.8%
19 / 264
39.4%
10 / 258
34%
7 / 207
69.4%
-
1.23%
Aviva Investors Emg Mkts Bd
FO Fixed Int - Emerging Markets
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1.9%
10 / 213
35.5%
5 / 200
49.2%
1 / 162
67.6%
-
-
Aviva Investors EMt LclCurBd
FO Fixed Int - Emerging Markets
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1.5%
17 / 213
33.4%
8 / 200
14.2%
64 / 162
17.3%
-
-
Aviva Investors Gbl Emg Mkts Idx
FO Equity - Emerging Markets
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0.9%
147 / 264
16.6%
127 / 258
-2.1%
122 / 207
13.7%
102 / 157
0.72%
Aviva Investors LgTrmEurpnBd
FO Fixed Int - EUR Long Maturity
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-0.4%
7 / 9
15%
5 / 9
49.8%
4 / 9
71.3%
5 / 8
-
Aviva Investors Asn Eq Inc
FO Equity - Asia Pacific ex Japan
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1.3%
98 / 179
13.9%
132 / 172
7.2%
102 / 151
36.9%
77 / 118
-
Aviva Investors EmgMkts Eq Inc
FO Equity - Emerging Markets
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-0.3%
227 / 264
10.9%
207 / 258
-7.5%
160 / 207
8%
122 / 157
-
Aviva Investors Gbl HiYdBd
FO Fixed Int - Global High Yield
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-0.1%
60 / 82
8.3%
27 / 76
16.1%
14 / 58
45%
6 / 38
-
Aviva Investors Eurp Corp Bd
FO Fixed Int - EUR Corporate Bond
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-0.1%
17 / 47
6.3%
29 / 46
15.1%
11 / 43
37.1%
11 / 36
-
Aviva Investors GblCnv AbRt
FO Absolute Return
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0.7%
18 / 138
6%
19 / 128
8.6%
19 / 78
27.7%
10 / 60
-
Aviva Investors ShDuGbHYldBd
FO Fixed Int - Global High Yield
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0.1%
30 / 82
5.5%
59 / 76
11.3%
31 / 58
-
-
-
Aviva Investors Emg Eur Eq
FO Equity - Emerging Europe
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0.1%
28 / 32
4.8%
27 / 32
9.3%
1 / 31
45.8%
1 / 30
-
Aviva Investors Gbl Agg Bd
FO Fixed Int - Global
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-0.1%
148 / 304
4.8%
184 / 287
13.3%
84 / 228
17.6%
77 / 161
-
Aviva Investors UK Oppt
FO Equity - UK
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-1.7%
59 / 63
4.5%
50 / 58
15.7%
25 / 47
64.9%
-
1.04%
Aviva Investors Gbl Convtl
FO Convertible
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-0.4%
50 / 74
3.6%
19 / 71
1.1%
61 / 62
22.5%
43 / 51
0.81%
Aviva Investors Eurpn Eq Inc
FO Equity - Europe ex UK
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-0.7%
62 / 104
1.7%
49 / 98
19.8%
40 / 87
70.5%
46 / 80
-
Aviva Investors European Eq
FO Equity - Europe inc UK
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-0.6%
104 / 233
1%
88 / 224
32.7%
25 / 200
101.6%
16 / 176
1%
Aviva Investors Strlg Liquidity
FO Currency - Sterling
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0%
15 / 45
0.3%
11 / 42
1%
10 / 37
1%
14 / 29
0.2%
Aviva Investors Strlg Govt Liqdty
FO Currency - Sterling
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0%
25 / 45
0.2%
17 / 42
0.7%
15 / 37
0.7%
17 / 29
0.2%
Aviva Investors € Liquidity
FO Currency - Euro
View Factsheet
-0%
41 / 59
-0.4%
44 / 57
-0.5%
44 / 54
-0.5%
33 / 43
0.1%
Aviva Investors Sht Tm Eurpn Bd
FO Fixed Int - EUR Short/ Medium Maturity
View Factsheet
-0.1%
24 / 30
-0.4%
29 / 29
0.5%
26 / 27
4%
17 / 21
1.28%
Aviva Investors MlStrtTgtRtn
FO Absolute Return
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-0.9%
125 / 138
-1.5%
93 / 128
-
-
-
-
0.85%
Aviva Investors EurpnRlEstScs
FO Property - Europe
View Factsheet
-0.9%
15 / 24
-2.7%
29 / 30
49.9%
-
91.2%
-
0.12%
Aviva Investors MlStrTgtInc
FO Absolute Return
View Factsheet
-1.1%
129 / 138
-
-
-
-
-
-
0.85%
Data provided by

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