Biography
Main responsibilities
Viktor’s primary focus is on conducting research in the infrastructure and energy private markets. As part of his role, he manages the inputs and outputs to Aviva Investors’ proprietary models, which help form an independent house view on the relative attractiveness of potential opportunities across Infrastructure Assets. In addition, Viktor is also involved in fund and asset level strategy discussions across the infrastructure and the wider Real Assets space.
Experience and qualifications
Viktor Dietrich has seven years of investing experience in public markets, having started his career at Timbercreek Asset Management in Zurich as part of its Global Real Estate Securities team, where he focused on UK and European real estate stocks. He returns to Aviva Investors following two and a half years spent in the firm as a global equity analyst between 2019 and 2021 focussing on infrastructure and real estate securities. Viktor holds a MSc in Economic History from London School of Economics where he received a full scholarship, a MA in Accounting and Finance and a BA in Business Administration from the University of St.Gallen.