At Aviva, we believe in bringing 'prosperity' and 'peace of mind' to our customers. 'Capital preservation' and 'generation of steady returns over the long-term' are the two doctrines that underline our investment philosophy.
To achieve this, we follow an extremely disciplined investment approach, entailing a stringent research process, vital for long-term investments. Our fund management philosophy is based purely on fundamentals and follows a conservative and consistent, long-term investment approach for security selection.
Risk management, which is core to our Investment philosophy, is the key to delivering sustainable returns. At Aviva, we focus on striking a balance between risks and rewards, to maintain high portfolio standards.