Aviva Insured Funds Asia-Pacific ex Japan Core Equity ESG enhanced Pn

SRI Style:

Limited Tilt or Exclusions

SDR Labelling:

-

Product:

Pension

Fund Region:

Asia Pacific ex Japan

Fund Asset Type:

Equity

Launch Date:

26/10/2020

Last Amended:

Dialshifter ():

Fund/Portfolio Size:

£0.02m

(as at: 31/03/2025)

ISIN:

GB00BKKZQ841

Primary fund last amended:


Information directly from fund manager.

Sustainable, Responsible &/or ESG Policy:

Please note: this fund is currently restricted (as at December 2025)

 

The fund aims to provide long-term growth from the developed Asia-Pacific ex Japan equity markets. Its strategy utilises Aviva Investors’ expertise to enhance the ESG characteristics of the fund.

For information about Aviva Investors' responsible investment policies, please visit  Policies and documents - Aviva Investors

(Source: Aviva factsheet, as at May 2025)

 

Please note: See Aviva baseline exclusions policy" https://www.aviva.com/sustainability/resources-and-reporting-hub/

 

Fund Name SRI Style SDR Labelling Product Region Asset Type Launch Date Last Amended

Aviva Insured Funds Asia-Pacific ex Japan Core Equity ESG enhanced Pn

Limited Tilt or Exclusions - Pension Asia Pacific ex Japan Equity 26/10/2020

Fund/Portfolio Size: £0.02m

(as at: 31/03/2025)

ISIN: GB00BKKZQ841

Information received directly from Fund Manager

Please select what you would like to read:

Sustainable, Responsible &/or ESG Policy:

Please note: this fund is currently restricted (as at December 2025)

 

The fund aims to provide long-term growth from the developed Asia-Pacific ex Japan equity markets. Its strategy utilises Aviva Investors’ expertise to enhance the ESG characteristics of the fund.

For information about Aviva Investors' responsible investment policies, please visit  Policies and documents - Aviva Investors

(Source: Aviva factsheet, as at May 2025)

 

Please note: See Aviva baseline exclusions policy" https://www.aviva.com/sustainability/resources-and-reporting-hub/