Why Aviva

Why Aviva?

Aviva offers several types of funds to meet the different need and risk profiles of investors

Active Funds

Actively managed by investment professionals aiming to outperform the market. Higher costs, but potential for stronger returns. Best for investors comfortable with more risk.

Passive Funds

Track the market for steady, long-term growth at lower cost. Suited to investors who prefer a simple, consistent approach.

Fixed Range Funds

Maintain a set mix of assets like bonds and equities, rebalanced as needed. Lower risk and more predictable, ideal for balance and stability.

Aviva Fund Centre

The Aviva Fund Centre is an online platform that gives investors easy access to up-to-date information on all of Aviva’s investment funds, including daily prices, historical performance, asset allocation, and risk ratings.

If you would like to navigate through Aviva's full list of funds, please click on the Fund Centre link below

Below is an explainer video of Aviva Fund Centre navigation guide

Below are some examples of the different Aviva Funds available

1. ESG Multi-Asset Range (Active / Passive Plus)

Funds are offered at different risk levels to suit investors:

ACTUAL AVERAGE 10-YEAR PERFORMANCE OF AVIVA ESG ACTIVE FUNDS

AVERAGE
graph

ACTUAL AVERAGE PERFORMANCE OF AVIVA ESG PASSIVE PLUS FUNDS SINCE LAUNCH

provider
return

Below is an explainer video of Aviva ESG Multi-Asset Range Funds

2. Fixed ESG Funds (20, 40, 60, 80)

These funds don’t change their combination very much – the number in the name tells you how much of the fund is in shares (equity) and the remaining is invested across bonds, property, alternatives such as renewables and infrastructure and cash instruments with all investments ESG-screened, meaning they are chosen only if they meet environmental, social, and good governance standards.

ACTUAL AVERAGE PERFORMANCE OF AVIVA FIXED ESG FUNDS SINCE LAUNCH

aviva
actual return can

If you would like to navigate through Aviva full list of funds, please click on the fund Centre link below

Below is an explainer video of Aviva Fixed ESG Funds

3.Highly volatile / Aggressive Investment options and Annual returns

Aviva also offers a selection of higher-risk funds designed for clients who are comfortable with market ups and downs in pursuit of stronger long-term growth. These funds typically invest a large portion in equities, which carry greater short-term volatility but also the potential for higher returns.

ACTUAL AVERAGE 10-YEAR PERFORMANCE OF AVIVA EQUITY FUNDS

performance
investment performance

4. Gold Fund

Aviva’s Gold Fund offers investors exposure to the price of gold, providing a useful hedge against inflation and market volatility. While
it doesn’t produce income, it adds diversification and can help stabilise a portfolio during uncertain times.

avia performance
actual return can go up and down

*Please note that actual return can go up and down, and past performance is not a true
indicator of future investment performance*

The data presented in the graph covers the period from 25 September 2015

to 23 September 2025.

Below is an explainer video of Aviva Gold Funds

Ready to start your investment journey with aviva?

Whether you’re just starting or managing a growing portfolio, our advisors are here to help. Let us guide you to the right provider, the best rates, and a future full of property investment success.

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