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Aviva Investors

Aviva Investors

London, United Kingdom·Founded 1973··avivainvestors.com

Aviva Investors is the global asset-management business of Aviva plc, headquartered in London and operating through Aviva Investors Global Services Limited (UK Companies House 01151805, authorised and regulated by the UK Financial Conduct Authority under firm reference number 119178). Its Real Assets and Private Markets arm makes direct equity, infrastructure and venture investments, structured through a range of Long Term Asset Funds including the Climate Transition Real Assets Fund (launched 2021, raised GBP 425 million) and the Venture and Growth Capital LTAF (launched 2025, c. GBP 150 million initial commitment).

AUM
€309.0B
Funds
2
vintages 2021–2025
Portfolio
10
Exits
0
SectorsEnergyReal EstateHealthcare

Key facts

HQLondon, United Kingdom
Founded1973

Recent exits

No exits recorded yet.

Coverage notes

2 funds tracked, 10 portfolio companies (10 active · 0 realized). Verified weekly from public filings and deal announcements.

Funds & portfolio

Every fund Aviva Investors has raised, with its portfolio companies. Hand-checked from public filings.

2 funds
Venture & Growth Capital LTAFVC
2025 · 1yr€176M3 active

Unrealized

3 held
TMTGermany· Entry 2025
MedTechUK· Entry 2025
Climate Transition Real Assets FundInfrastructure
2021 · 5yr€493M7 active

Unrealized

7 held
EnergyGermany· Entry 2025
MobilityUK· Entry 2022
Real EstateUK· Entry 2021
MobilityIreland· Entry 2023
ClimateTechUK· Entry 2021
EnergyItaly· Entry 2023
EnergyGermany· Entry 2025
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About Aviva Investors

Aviva Investors is a UK multi-asset manager with £198 billion of assets under management as of December 2024 (up 17% from £170 billion in 2023, approximately €235 billion), headquartered in London. The firm was founded in 1971 as Geoffrey Morley and Partners, rebranded Morley and then Aviva Investors following the parent Aviva plc consolidation in 2008. Aviva Investors operates as a wholly-owned asset management arm of Aviva plc, which is listed on the London Stock Exchange and a FTSE 100 constituent.

Investment thesis

Aviva Investors deploys capital across a multi-asset manager platform spanning equities, fixed income, real assets, multi-asset, liquidity and climate transition strategies, with sector focus across real estate, infrastructure equity and debt, sustainable equities, climate credit, natural capital and venture capital for climate tech. Geographic deployment is anchored in UK and Continental Europe core markets plus North America and Asia-Pacific distribution. The platform's £21.9 billion real assets capability combines with insurance-balance-sheet anchored origination at scale, supporting one of Europe's strongest climate-transition specialisations.

Recent activity

Recent activity includes real estate origination via the £250 million Cambridge CB1 commercial property platform with PSP Investments (2024), the £3.2 billion infrastructure and real assets origination for the annuity book (2024) and the acquisition of Connected Infrastructure Capital plus €800 million industrial energy transition partnership with Astatine (2024-2025). The platform continues active capital deployment across the real assets and climate transition franchises. Detailed buyer names and multiple data available on Pro at €29/month.

Last updated March 2026 · Sourced from public filings