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Aviva Oblig International

Ranked 7 out of 98 in - Euro High Yield over 12 months
All calculations are in EUR unless stated

Managed by

Paul Gagey

Paris-based Paul Gagey is a fund manager specialising in convertible and high yield bonds at Aviva Investors. He previously worked as an emerging market trader, and was CIO in a reinsurance company. At Caisse des Dépôts (the French wealth fund) he managed European equities as a value investor. Paul studied mathematics at Columbia University. A member of the French Society of Financial Analysts, he has also published numerous financial articles and is the author of « Bloc-notes d’un investisseur » Franel ed. 2009. A family man, away from work Paul enjoys spending time with his wife and four children.

Objective

The Fund aims to outperform on the rate of return on government bonds reflected in the benchmark, seeking opportunities for performance or a favorable risk/reward ratio on international bonds and other debt instrument markets. Selected issuers will be from all geographical areas, including emerging countries up to 10%, and belong to either public or private sector.

Showing fund performance globally. You can view performance in individual jurisdictions.

Performance

Euro High Yield over : 30/11/2016 - 30/11/2017
  • Rank 7/98 Total Return
  • Rank 37/98 Standard Deviation
  • Rank 1/98 Max Drawdown
Fund Name Currency Risk
35 OFI Euro High Yield I EUR

1.9

35 Allianz Euro High Yield R D EUR

1.9

37 Aviva Oblig International EUR

1.9

37 Aviva Interoblig EUR

1.9

37 Candriam Bonds Euro High Yield C Cap EUR

1.9

37 UniInstitutional Global High Yield Bonds

Currency exposure is hedged

Currency exposure is hedged

EUR

1.9

Fund Name Currency Loss
1 Obligations 5-7 M EUR

0%

1 UniInstitutional Euro Subordinated Bonds

Currency exposure is hedged

Currency exposure is hedged

EUR

0%

1 Aviva Oblig International EUR

0%

1 Aviva Interoblig EUR

0%

1 Aviva Investors Alpha Yield EUR

0%

Total Return

Quarterly Performance

to 29/09/2017 Annual Q1 Q2 Q3 Q4
2017 3.2% 3.0% 1.4%
2016 7.3% -0.6% 1.9% 4.5% 1.3%
2015 3.8% 5.0% -1.8% -0.5% 1.2%
2014 9.5% 3.9% 4.0% -0.1% 1.4%
2013 15.1% 3.9% 2.4% 4.0% 4.0%
2012 40.2% 20.2% -3.3% 10.8% 8.9%
2011 -12.1% 4.9% 0.0% -18.5% 2.8%
2010 13.1% 8.8% -2.8% 7.1% -0.1%
2009 45.1% -7.1% 28.4% 19.6% 1.6%
2008 -23.7% -5.6% 1.2% -6.1% -15.0%
2007 -0.2% 1.6% -1.2% 0.4% -1.1%
2006 1.8% -1.2% -1.9% 4.0% 1.0%
2005 9.8% 1.6% 4.7% 1.9% 1.3%
2004 10.0% 4.3% -0.6% 4.1% 2.0%
2003 8.8% 1.3% 10.1% 1.7% -4.0%
2002 6.4% 2.2% -0.9% 2.3% 2.6%
2001 9.0% 4.2% 2.9% -0.7% 2.4%
2000 12.5% 4.7% 2.5% 4.4% 0.4%
1999 16.8% 5.9% 5.7% 0.7% 3.6%
1998 3.9% 4.1% -1.5% -2.2% 3.6%
1997 1.1% -0.5% 3.8% 0.7% -2.8%
1996 16.4% 0.6% 3.0% 3.5% 8.6%
1995 6.3%

Month by Month Performance

Returns Vs Risk

Registered For Sale In

  1. France

Fund Info

  • Launch date02/06/1980
  • Share Class size416Mn
  • Base currencyEUR
  • ISIN FR0000097495

Purchase Info

  • Min. initial investment0
  • Min. regular additional investment0

Charges

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Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in the currency and currencies indicated).