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You are here: Manager factsheet

Sunil Krishnan

Aviva Investors UK Fd Serv Ltd
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Manager profile
Sunil Krishnan, CFA, Director, is a portfolio manager in the BlackRock Multi-Asset Client Solutions (BMACS) group, which is responsible for developing, assembling and managing investment solutions involving multiple strategies and asset classes. He manages institutional and retail multi-asset portfolios, and is the team's financial markets economist, responsible for economic research and forecasting to generate investment ideas across all asset classes. Mr. Krishnan's service with the firm dates back to 2001, including his years with Merrill Lynch Investment Managers (MLIM), which merged with BlackRock in 2006. At MLIM, Mr. Krishnan was financial markets economist and co-manager of Global Tactical Asset Allocation accounts. Mr. Krishnan holds an MSc in economics from the University of London (Birkbeck) and an MA degree, with first class honours, in philosophy, politics and economics from Oxford University.
Total return for Sunil Krishnan
Discrete calendar year performance : Sunil Krishnan

Manager career performance
Discrete performance
  0-12m 12-24m 24-36m 36-48m 48-60m 60-72m 72-84m 84-96m 96-108m 108-120m
Sunil Krishnan 10.3 -0.5 0.4 16.8 - - - - - -
Peer Group Composite 8.6 -1.3 -0.5 19.8 - - - - - -
Over / Under 1.7 0.8 0.9 -3.0 - - - - - -
Performance vs peer group composite: Sunil Krishnan
How a manager matches up against their peers gives you some idea of how talented they are. Very few managers perform equally well in rising and falling markets, so knowing which type of market a manager is capable of performing well within is also important.
 
Overall markets
Up
Outperformed peer group composite
3 years
out of a possible 4
 
Overall markets
Up
Underperformed peer group composite
1 year
out of a possible 4
 
Rising markets
UpDown
Outperformed peer group composite
1 year
out of a possible 2
 
Falling markets
UpDown
Outperformed peer group composite
2 years
out of a possible 2
Funds currently managed
Fund Sole/Co-managed Sector Periods
Aviva Inv Multimanager 20-60% Shares Co-managed UT Mixed Investment 20-60% Shares since Dec 22 2021 to present
Aviva Inv Multimanager 40-85% Shares Co-managed UT Mixed Investment 40-85% Shares since Dec 22 2021 to present
Aviva Inv Multi-Manager Flexible Co-managed UT Flexible Investment since Dec 22 2021 to present
Aviva Inv AI Multi-asset Plus I Co-managed UT Volatility Managed since Mar 27 2023 to present
Aviva Inv AI Multi-asset Plus II Co-managed UT Volatility Managed since Mar 27 2023 to present
Aviva Inv AI Multi-asset Plus III Co-managed UT Volatility Managed since Mar 27 2023 to present
Aviva Inv AI Multi-asset Plus IV Co-managed UT Volatility Managed since Mar 27 2023 to present
Aviva Inv AI Multi-asset Plus V Co-managed UT Volatility Managed since Mar 27 2023 to present
Funds managed previously
Fund Periods
Aviva Inv AI Multi-asset Plus I since Feb 01 2020 to Jul 31 2022
Aviva Inv AI Multi-asset Plus II since Feb 01 2020 to Jul 31 2022
Aviva Inv AI Multi-asset Plus III since Feb 01 2020 to Jul 31 2022
Aviva Inv AI Multi-asset Plus IV since Feb 01 2020 to Jul 31 2022
Aviva Inv AI Multi-asset Plus V since Feb 01 2020 to Jul 31 2022
Aviva Inv Multimanager 20-60% Shares since Feb 01 2020 to Sep 30 2020
Aviva Inv Multimanager 40-85% Shares since Feb 01 2020 to Sep 30 2020
Aviva Inv Multi-Manager Flexible since Feb 01 2020 to Sep 30 2020
BlackRock Active Managed Portfolio since Sep 01 2010 to Mar 31 2011
BlackRock Balanced Growth Portfolio since Sep 01 2010 to Mar 31 2011
Data provided by FE fundinfo. Care has been taken to ensure that the information is correct, but FE fundinfo neither warrants, represents nor guarantees the contents of information, nor does it accept any responsibility for errors, inaccuracies, omissions or any inconsistencies herein. Past performance does not predict future performance, it should not be the main or sole reason for making an investment decision. The value of investments and any income from them can fall as well as rise.

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