Latest private markets thinking

  • Revitalising Glen Dye Moor: Real asset stories

    28 Sep 2026

    In our latest case study, we look at Glen Dye Moor, a 6,300-hectare site in Aberdeenshire, Scotland. We intend to rejuvenate the land, simultaneously removing carbon from the atmosphere, and delivering financial outcomes for investors and social benefits for local communities.

  • Building the future

    16 Sep 2026

    Sustainability-related regulation is becoming an increasingly material driver of real estate investment decision-making, rather than just a compliance requirement. Jeremy Ho analyses the implications.

  • UK and EU sustainability regulations: Could a narrow focus be missing the bigger picture?

    27 Aug 2026

    Regulation must recognise that sustainable investing incorporates more than the provision of sustainable funds alone.

  • Natural capital comes of age: Part one: From environmental value to investment opportunity

    25 Aug 2026

    In the first of four insights, we explain why natural capital is a foundational input into economic activity. Forests, soils, rivers, wetlands, oceans and biodiversity are productive assets that generate products such as timber or food and are natural regulators of water flows. 

  • Illiquidity premia in private debt: Q2 2026

    24 Aug 2026

    In this latest edition of our series on the illiquidity premia, we assess the key themes driving private-debt pricing and market opportunities in Q2.

  • Driving stewardship together

    29 Jul 2026

    Aviva’s Investments, Wealth and Retirement business and Aviva Investors are working together to deliver financial and sustainable outcomes, connecting clients to their capital.

  • Confidence in a changing climate

    15 Jun 2026

    How can institutions forge impactful climate strategies that are right for them and their end beneficiaries? Our “Confidence in a changing climate” guide showcases some of the solutions we have developed to help. 

  • Sustainability review 2025

    2 Jun 2026

    We believe understanding sustainability factors and trends is fundamental to effective asset management. This report sets out our approach and includes an overview of our holistic stewardship activities over the past year

  • Illiquidity premia in private debt: Q1 2026

    1 Jun 2026

    In our Q1 2026 deep dive, our research team crunched the data to explore how evolving macro conditions are reflected in private debt returns.

  • Payment on delivery: Execution is key to returns in European infrastructure

    27 May 2026

    In 2026, a lot of capital is chasing few genuinely deliverable infrastructure assets, while geopolitical turmoil is reshaping energy markets. Darryl Murphy, head of infrastructure, delves into what this means for investors.

  • Private market allocations set to rise: Debt’s staying power meets equity’s revival

    18 Feb 2026

    In 2026, investors are targeting increases to their private market allocations. Debt is here to stay, but equity is set to regain ground.

  • Illiquidity premia in private debt: Q4 2025

    17 Feb 2026

    Our private markets research team have crunched the Q4 2025 data. They explain how evolving macro conditions are reflected in private debt returns.

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