Peter Fitzgerald, manager of the Aviva Investors Multi-Manager 20-60% Shares fund, tells Maria Merricks why he prefers to hold a relatively large cash buffer for the time being.
1 What have been the main drivers behind the fund’s outperformance over five years? The outperformance has been driven by a combination of security selection and asset allocation. The asset allocation...
Achievements, charity work and other happy snippets
'A win for advisers'
Unconstrained multi-asset fund managed by Talib Sheikh
Who made the cut?
Transferring out of DB scheme