9 - Analysis of fund management operating profit


index | previous | next

The summarised consolidated income statement – EEV basis, includes profit from the Group’s fund management operations as analysed below. As explained in note 8, this excludes the proportion of the results of Aviva Investors and other fund management operations within the Group that arises from the provision of fund management services to our Life businesses. These results are included within the Life EEV operating return.

  6 months
2008
£m
6 months
20071
£m
Full year
20071
£m
  1. Prior periods have been restated to reflect the new management structure to include France and Canada. Norwich Union’s retail investment business and the collective investment business with RBSG do not form part of Aviva Investors UK operations.
United Kingdom 13 18 40
France 5 5 10
Canada 1 1 3
Other 1 5 11
Aviva Investors 20 29 64
United Kingdom (8) (4) (10)
Netherlands 6 9 17
Other Europe 3 2 4
Europe 9 11 21
Asia Pacific 9 9 15
Total 30 45 90

On 28 February, as part of the ‘one Aviva, twice the value’ vision, we announced our plans to combine the asset management companies within Aviva to create a single, globally integrated asset manager to be known as Aviva Investors.

Investor tools

Follow

Twitter logo Flickr logo Youtube logo Slideshare logo Rss logo

Subscribe

Email icon

Close

Choose your country's website: