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NewsAviva Investors launches carbon removal fund
Asset manager says fund is designed for investors with ambitious decarbonisation pathways
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NewsAviva Investors launches third UK LTAF with addition of private debt fund
New fund gets £750m cash injection from Aviva’s Future Focus default pensions solution
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NewsPeople moves: Aviva adds to master trust board
Plus: South Yorkshire Pensions Authority picks new director; Goldman Sachs Asset Management names OCIO managing director
White papersShort-term headwinds, structural tailwinds - Aviva Investors
Volatility presents challenges and opportunities for investors. James Tarry and Luke Layfield discuss what’s next for real asset investors focused on the climate transition.
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NewsAviva adds venture capital capability to rebranded private markets business
Latest move comes as Aviva Investors continues to expand its private markets offering to meet evolving demands of investors
White papersLiquidity, logistics and living: What next for real estate equity? - Aviva Investors
Opportunities are emerging across real estate markets in the UK and Europe, but investors will have to be nimble and discerning in their asset selection, say Imogen Ebbs and George Fraser-Harding.
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FeaturesStrategically Speaking: Aviva Investors
Insurance-owned asset managers can be difficult to pigeonhole. Some have forged strong specialisms, often in fixed income, but now also in alternatives like property or niche credit. Others have remained a corporate backwater absorbed by group general-account assets.
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NewsPeople moves: Alecta poaches duo from AMF
Plus: Aviva Investors picks head of EMEA institutional client relationship management; Regeneration.VC adds partner, chief impact officer
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People moves: Aviva Investors fills new head of LDI and liquidity post
Aviva Investors, PFA, Sarasin, LOIM, Zurich, Ninety One, Casey Quirk, Reframe Capital, Industriens Pension
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NewsAviva’s new DC default to commit up to 25% to private markets
The firm’s strategy – My Future Vision – will invest in private equity, infrastructure, real estate and private debt
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Aviva Investors names new CEO as Munro exits
Mark Versey, CIO of the real assets platform, is taking over from Euan Munro
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NewsAviva Investors plots route to international climate finance platform
Asset manager sets out recommendations for evolving international financial architecture to account for climate change
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NewsPeople moves: Jupiter appoints CIO to start in February 2026
Plus: Aware Super UK adds to board; IFRS Foundation names new trustee
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NewsPeople moves: Van Lanschot Kempen’s CEO to step down to non-exec role
Plus: Border to Coast picks responsible investment integration manager; SEI adds to board
White papers40 years of lending lessons
From navigating market crashes to embracing ESG and technology, Adrian Poole and Gregor Bamert reveal how 40 years of real estate debt investing have moulded Aviva Investors’ strategy – and what it takes to stay ahead in a rapidly changing market.
White papersIlliquidity premia in private debt Q3 2025
Having crunched the data, our private markets research team looks at how evolving macro conditions are impacting private debt returns.
White papersFrom niche to core: Asset-based finance emerges as a driving force as private debt markets continue to evolve
Asset-based finance is capturing the attention of institutional investors – from pension schemes to insurers – thanks to its diverse risk-return drivers and its growing role as a strategic building block in investors’ portfolios.
White papersSolid foundations: The case is building for infrastructure equity
In this article Viktor Dietrich, Research Director for infrastructure, venture capital and natural capital, revisits the case for investing in European infrastructure equity. He suggests reasons why small-to-mid-sized opportunities should feature prominently on investors’ radar.
White papersShow me the value: Investing in carbon removal, part two
In this article, we explore the different types of carbon credits, the development of the markets on which they are bought and sold, and how institutions can use them to achieve their investment and sustainability goals.
White papersRELI’s return: Why real estate long income (RELI) has a growing fanbase
After falling out of favour following the 2022 UK mini-budget crisis, real estate long income is making something of a comeback. Fund managers Renos Booth and Kris McPhail explain why it is starting to attract interest from a variety of investors.





