Vida emphasizes an opportunistic and risk-controlled approach to investing in insurance-linked & specialty finance assets.

Vida was founded in 2009 with the objective of creating a vertically integrated investment manager within the longevity-contingent investment space and has grown into a diversified asset manager of non-correlated, esoteric asset classes.

Headquartered in Austin, Texas, Vida manages $4b+ of capital through a variety of closed-end and open-ended fund structures on behalf of sovereign wealth funds, pension plans, insurance companies, endowment & foundations, family offices, and registered investment advisors.

Vida’s primary firm-wide goal is to achieve attractive returns while mitigating investment risk, with the ultimate objective of protecting & nurturing investor principal. The Firm seeks portfolio risk exposures that have minimal-to-no correlation to general equity markets, thereby helping investors optimize portfolio diversification. We believe these uncorrelated assets also provide an attractive opportunity for predictable cash flows with an asymmetric risk profile & shorter duration exposure.

Core Values

  1. Our highest responsibility is to our investors and the capital they have entrusted to our care;
  2. We strive for excellence, integrity, and transparency in all aspects of our business;
  3. Our culture values teamwork, individual respect, and personal responsibility;
  4. We seek to be innovative and creative in delivering value to our investors

 

Meet Our Team
Leadership Team
180+
Years Combined Experience
Professional Staff
100+
Employees

How we manage risk

Vida has an extensive track record in mitigating investment risk. The Firm emphasizes an opportunistic and risk-controlled approach to investment selection. Vida employs a bottom-up, fundamental due diligence process which is complemented by proprietary & data-driven quantitative analysis.

Learn More About Our Strategies

Learn more about our
non-correlated investment
strategies

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