Aviva Life & Pension runs 25 funds available to UK investors on Funds Benchmark, with £94.2B in combined assets under management. The book is concentrated in Multi-Asset (14 funds), Equity (8 funds), Bond (2 funds), with smaller allocations across 1 other asset class. The average ongoing charge (OCF) across the range is 0.01% — competitive for actively-managed funds. Every fund below links to a live detail page with its latest price, factsheet-style performance over 1Y / 3Y / 5Y, fees and full holdings — all comparable side by side against benchmark and peers.
| # | Fund | 1Y | AUM | OCF |
|---|---|---|---|---|
| 1 |
Equity Global
GB00B5VMXZ51
|
+37.8% | £13M | 0.01% |
| 2 |
Equity Asia Pacific Ex Japan
GB00B930D551
|
+33.3% | £12M | 0.02% |
| 3 |
Equity United Kingdom
GB0006159437
|
+20.4% | £6.8B | — |
| 4 |
Equity North America
GB0006161409
|
+19.9% | £860M | 0.01% |
| 5 |
Equity
GB00B2PNN201
|
+18.8% | — | 0.02% |
| 6 |
Multi-Asset Global
GB00B00H4G44
|
+16.5% | £6.1B | — |
| 7 |
Equity
GB0002516044
|
+16.3% | — | 0.01% |
| 8 |
Multi-Asset Global
GB0006159213
|
+15.0% | £23.8B | — |
| 9 |
Multi-Asset Global
GB0008621475
|
+14.7% | £3.2B | — |
| 10 |
Equity Global
GB0006378847
|
+14.6% | £1.6B | — |
| 11 |
Multi-Asset Global
GB0002612728
|
+14.5% | £3.2B | — |
| 12 |
Multi-Asset Global
GB0006378623
|
+14.1% | £23.8B | — |
| 13 |
Equity
GB0006160211
|
+13.0% | — | 0.01% |
| 14 |
Multi-Asset
GB0005277479
|
+10.8% | — | 0.01% |
| 15 |
Multi-Asset Global
GB00BKKZN277
|
+9.2% | £8.3B | — |
| 16 |
Multi-Asset Global
GB0031778938
|
+8.7% | £1.6B | — |
| 17 |
Multi-Asset
GB00BG2Z3C78
|
+8.4% | — | 0.01% |
| 18 |
Multi-Asset
GB0002692761
|
+8.1% | — | 0.01% |
| 19 |
Other
GB0006160435
|
+7.1% | — | 0.01% |
| 20 |
Multi-Asset Global
GB00BGGRZB21
|
+6.9% | £7.6B | — |
| 21 |
Multi-Asset Global
GB00BG2Z3D85
|
+5.2% | £1.9B | — |
| 22 |
Multi-Asset Global
GB0008602822
|
+4.9% | £1.9B | — |
| 23 |
Multi-Asset Global
GB0031779019
|
+4.8% | £1.9B | — |
| 24 |
Bond
GB0006159650
|
+2.9% | — | 0.01% |
| 25 |
Bond United Kingdom
GB0002515418
|
+1.4% | £1.6B | — |
Aviva Life & Pension has 25 funds covered by Funds Benchmark across Multi-Asset, Equity, Bond, Other.
Add any fund to a side-by-side comparison with up to 5 competitor funds.
Every Aviva Life & Pension fund's detail page on Funds Benchmark shows its latest price (NAV), cumulative and discrete performance, ongoing charge, fund size and full holdings — the same data a factsheet carries, kept current from FE fundinfo and shown side by side against benchmark and peers.
We list 25 Aviva Life & Pension funds available to UK investors. Not every share class is offered by every platform — check your broker's fund list before placing an order. Use the search above each fund to see its full ISIN and pricing details.
Aviva Life & Pension's largest exposure is in Multi-Asset alongside 3 other asset classes . The full breakdown by count is shown above. You can also filter the firm's funds by asset class using the buttons on the Fund Finder.
Open any Aviva Life & Pension fund's detail page to see its quartile rank against peers in the same IA sector, cumulative and discrete performance over 1Y / 3Y / 5Y, risk metrics (volatility, Sharpe, max drawdown), and full holdings breakdown. Performance data is from FE fundinfo and refreshed monthly.
Across the Aviva Life & Pension retail share classes we cover, the average ongoing charge (OCF) is 0.01%. Individual share classes vary — institutional and clean retail classes are typically cheaper than legacy retail classes with embedded platform fees. Each fund's detail page shows the OCF for that specific share class.
The table above lists every Aviva Life & Pension fund we cover, sortable by AUM, 1Y / 3Y / 5Y return, and ongoing charge. The Fund Finder offers more granular filtering across multiple managers at once.