Gregor leads our Real Estate Debt teams based in London, Norwich, and Paris. He has overall responsibility for the origination, execution, and ongoing management of real estate finance transactions.
Experience and qualifications
Prior to joining Aviva Investors, Gregor spent 14 years at Barclays where he held a number of roles in both investment and corporate banking. He has worked on capital markets, financing and advisory transactions across Europe and South Africa. He has been active in real estate finance for over ten years, most recently as Managing Director of the London Real Estate team within Barclays Corporate. Gregor previously worked as a management consultant, specialising on the investment banking industry in both London and New York. Gregor holds an MA in Philosophy, Politics & Economics from Oxford University.
You might also be interested in
Zero-COVID: China’s costly policy error
10 Aug. 2022
Beijing’s ideological battle to stamp out COVID-19 appears increasingly misguided as the rest of the world learns to live with the virus. But the impact of China’s approach will be felt far beyond its borders.
Illiquidity premia in real assets: Q2 2022
9 Aug. 2022
Our real assets research team crunch the data to see whether the effects of rising inflation and interest rates are being reflected in private market returns.
Global equity income Q&A: Richard Saldanha on the outlook for dividends and growth
3 Aug. 2022
The lead manager of our Global Equity Income strategy discusses risks and opportunities for income-seeking investors in a turbulent time for markets.
What does the data say? Are we close to 1970’s-style stagflation?
29 Jul. 2022
In this month’s instalment of our visual series on topical themes, we look at whether the global economy is heading towards stagflation.
Multi-asset allocation views: Is this the end of the 60/40 strategy?
20 Jul. 2022
Government bonds have not acted as safe haven assets recently. Sunil Krishnan explores whether this spells the end of the traditional 60/40 allocation in multi-asset portfolios.
Convertible bonds: Five questions with David Clott
19 Jul. 2022
In the first of a new series, David Clott assesses the key recent developments in the convertible bond market and outlines why this could be an attractive entry point into the asset class with Rico Pedrett.
Bumpy ride set to continue for credit investors
18 Jul. 2022
The co-managers of the Aviva Investors Strategic Bond strategy give their views on the outlook for credit markets following the worst first-half in at least 40 years.
The AIQ Podcast: Taking stock of nature risk
15 Jul. 2022
The idea that human actions are bringing natural systems close to breakdown, threatening livelihoods and financial stability, is making asset managers think harder about nature risk and the environmental dependencies in investee companies.
UK Equity Income: Five questions with Chris Murphy
15 Jul. 2022
The manager of our UK Equity Income strategy explains why investors need to change their mindsets about what to pay for growth and cautions against buying yield for its own sake.
EMD: On the bread line
6 Jul. 2022
Russia’s war in Ukraine has contributed to soaring food prices, supercharging global inflation. Poorer countries will likely be hardest hit, adding to the risk of social unrest. With public finances and incomes already under strain, emerging-market debt investors should be on high alert.
Is stagflation set to make an unwanted return?
1 Jul. 2022
A growing chorus of experts are warning of the return of stagflation – periods of high inflation with low or negative economic growth.
Investing in a just transition to net zero: A Q&A with Nick Robins
30 Jun. 2022
Reaching net zero by 2050 will require significant injections of capital. But it is also an opportunity to rethink social relationships, as Professor Nick Robins explains.
Supply chains, painkillers and gene editing: ESG risks in pharma
29 Jun. 2022
Reflecting on ESG risks in the pharmaceutical industry, Sora Utzinger discusses supply chains and counterfeit medicines, access to painkillers, and the ethics of gene editing.
What does the data say? Biodiversity loss: From horror to hope
24 Jun. 2022
In this month’s instalment of our visual series on topical themes, we explore the world of biodiversity.
ESG investing: Lasting lessons from Russia’s war on Ukraine
23 Jun. 2022
Russia’s invasion of Ukraine has led to ESG receiving widespread flak. While much of the criticism is unjustified, the episode underlines how many issues related to ESG are complex and involve trade-offs. Investment approaches may need fine tuning, especially if the geopolitical landscape continues to change so rapidly.
UK Equities: Five questions with Charlotte Meyrick and Trevor Green
14 Jun. 2022
Charlotte Meyrick and Trevor Green explain why 2022 has all been about getting your sector calls right in UK equities.