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 approximately $3.9b* 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
Years Combined Experience
Professional Staff

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.

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non-correlated investment

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