Standard Life Investments


Standard Life Investments manages a full range of equity strategies that span the risk/return spectrum. While distinct in their risk tolerances and return objectives, our equity portfolios share a common goal: to consistently add value through active management.

Fixed income

Standard Life Investments has the experience and ability to deliver consistent performance for our clients. Our expertise spans the major global fixed income markets including government bonds, investment-grade and high yield credit, inflation-linked bonds and emerging market debt. This enables us to offer a wide range of fixed income strategies, whether they are traditional benchmark-oriented, liability-related or absolute return-based.

Real estate

The benefits of investing in real estate are compelling. Over the long term, the returns from real estate have a low correlation with equities and bonds. This means that real estate can help to spread risk and create diversified investment portfolios. In addition, real estate offers relatively stable income in the form of rent paid by tenants.

Liability Aware Investing

We understand the important funding challenges facing the institutional market – and offer liability-beating investment solutions that aim to deliver returns above your clients’ scheme liabilities while maintaining funding level stability.


Multi-asset combines different branches of our investment expertise addressing clients’ goals and specific investment objectives. With leading portfolio design, our advanced asset management offers compelling return potential together with true diversification for increased resilience during uncertain periods.