Diversification & Quality
As we enter Quarter 3, Deposits continue at all time lows, and attention remains on Corporate Bonds. With steady returns over the last 5 years the Aviva Irl Corporate Bond Fund could be the ideal home for your client's fixed interest allocation within a diversified portfolio. The Fund comprises of 140 individual bonds from high quality companies (min BBB- rating).
Steady Returns with low volatility over 5 years to 19 August 2014:
Annual Standard Deviation | Annual Performance | 2.8% | 29% cumulative (5.5% annualised) |
Source: Aviva Investors & Moneymate 19 August 2014
You can download the latest Corporate Bond Fund Monthly Report here
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