
Aviva Investors
Fund: Aviva Investors Return Plus Fund
Why is the Fund a Fund to Watch?
As macro uncertainty rises and fixed income spreads remain compressed, investors face an increasingly asymmetric risk profile. ReturnPlus offers a powerful diversification solution — a global strategy built to perform through market turbulence, with low volatility, low correlation to traditional fixed income, and no FX or interest rate duration. A genuinely differentiated building block for today’s portfolios.
Speaker:
Todd Cutting, Senior Portfolio Manager, Fixed Income Solutions

Todd is a senior portfolio manager within our Fixed Income Solutions team and is the lead manager for the Enhanced Liquidity and ReturnPlus range of portfolios. Todd develops and implements investment strategies in low risk relative value opportunities, and has a particular interest in structural dislocations in global funding markets.
Experience and qualifications:
Prior to Aviva Investors, Todd was at UBS Global Asset Management, working as an analyst covering fixed income and multi asset funds. Todd graduated from the University of Bath with a BSc (Hons) degree in Mathematics and is a CFA charterholder.
Presentation Synopsis:
ReturnPlus. An alternative to short-dated IG?
With rising uncertainty about the outlook for markets, many investors have chosen to seek sanctuary at the front end of the curve. However, even short-dated IG funds don’t come without their own risks. Todd Cutting will:
o run though market conditions
o explain why, given current spreads, ReturnPlus may offer an attractive alternative short-dated IG
o touch on how he has delivered these outcomes for clients over the last decade
Sales Attendees:
James Southern, Business Development Director, UK Wealth

Michael Ryan
