aberdeen

5,001-10,000 employees Financial Services

About aberdeen

At aberdeen, our ambition is to be the UK’s leading Wealth & Investments group.

We are focused on growing our direct and advised wealth platforms and repositioning our specialist asset management business to meet client demand. We are committed to providing excellent client service, supported by leading technology and talent.

Expertise

Asset Management and Wealth Management

583 results found

Dynamic dividend investing | Aberdeen Investments
  • 10 Aug 2026

Aberdeen Investments outlines a dynamic dividend investing approach to navigate volatile markets by focusing on quality, resilient businesses that can deliver across various conditions through divi...

Why nature finance is becoming investable | Aberdeen Investments
  • 28 Jul 2026

Analysis of nature finance and capital allocation for environmental outcomes, examining Ecobank's Sustainable Agriculture and Natural Capital Bond as a case study of mainstream nature-linked financ...

North American real estate Q3 2026 review and outlook | Aberdeen Investments
  • 28 Jul 2026

US economic outlook and North America real estate market analysis covering GDP growth forecasts of 2.3% for 2026, inflation trends, Fed policy expectations, and real estate sector performance acros...

Why stewardship outcomes matter for investors
  • 28 Jul 2026

Analysis of effective stewardship practices emphasizing outcomes over activity, holdings-centered approaches, and financial materiality in sustainable investing and engagement strategies.

Judgement matters when ESG ratings clash
  • 27 Jul 2026

Analysis of ESG rating divergence among providers, measurement differences, and Aberdeen Investments' active approach to ESG integration emphasizing financial materiality and internal judgment over...

DC private markets portfolio construction made simple | Aberdeen Investments
  • 24 Jul 2026

Comprehensive guide on building diversified private markets portfolios for defined contribution schemes, covering market dynamics, cash management, liquidity strategies, and performance measurement...

The AI boom is coming | Aberdeen Investments
  • 24 Jul 2026

Analysis of AI infrastructure financing through debt markets. Hyperscalers issuing record bond volumes to fund data centres, creating opportunities and risks for bond investors. Discusses infrastru...

The Monthly Macro Outlook Video – July 2026 | Aberdeen
  • 23 Jul 2026

Lizzy Galbraith examines Strait of Hormuz tensions and US-Iran relations affecting energy markets, plus UK fiscal policy under new PM Andy Burnham and implications for tax rises.

APAC real estate market outlook Q3 2026 | Aberdeen
  • 23 Jul 2026

APAC real estate market analysis covering economic forecasts, regional outlook, sector performance and investment strategies across offices, industrial, retail and living sectors through 2028.

Private markets: a shift from momentum to selectivity
  • 20 Jul 2026

Aberdeen's Private Markets House View analyzes shifting focus from valuations to fundamentals and income. Discusses selective opportunities in private equity, credit, infrastructure, and real estat...

Short Dated Enhanced Income: a continuing role three years on
  • 16 Jul 2026

Short-dated enhanced income portfolio designed to offer capital preservation with yield and liquidity through diversified high-quality, short-duration bonds globally, including investment-grade cre...

European real estate market outlook Q3 2026
  • 16 Jul 2026

European economic and real estate market outlook covering Eurozone growth forecasts, inflation expectations, ECB policy, and real estate sector performance with three-year return projections.

UK real estate market outlook Q3 2026 | Aberdeen
  • 16 Jul 2026

UK economic outlook and real estate market analysis covering GDP growth, inflation, policy rates, and sector-specific trends in offices, industrial, retail, and residential properties through 2028.

Why Macro Still Matters for Investors | Aberdeen Investments
  • 10 Jul 2026

Analysis of macro regimes and structural shifts in inflation, geopolitics, and supply shocks. Argues macro analysis is valuable for understanding portfolio risks and scenario outcomes rather than p...

Why are UK gilt yields rising in a slowing economy?
  • 02 Jul 2026

Analysis of UK gilt market dynamics, examining why traditional bond-yield relationships have broken down amid inflation and fiscal uncertainty, and implications for asset allocation and portfolio c...

Economic Infrastructure update - Q2 2026 | Aberdeen Investments
  • 02 Jul 2026

Q2 2026 Economic Infrastructure portfolio update highlighting asset management, portfolio resilience, and developments across energy, digital and transport infrastructure including biomethane, dist...

Resilience: the next phase of climate strategy
  • 23 Jun 2026

Analysis of climate resilience as an investment opportunity, examining how physical climate risks are reshaping financial outcomes and presenting three routes to resilience: adaptation solutions, r...

The Monthly Macro Outlook Video – June 2026
  • 18 Jun 2026

Luke Bartholomew discusses updated economic scenarios, analyzing global resilience amid oil market pressures, inflation concerns, AI's growth impact, and emerging risks including Middle East develo...

Rethinking multi-asset investing
  • 17 Jun 2026

Article on MyFolio's multi-asset investment philosophy emphasizing risk management, diversification across 20 asset classes, strategic allocation, and balanced passive-active approaches to deliver...

Global infrastructure: Why a selective approach matters | Aberdeen Investments
  • 16 Jun 2026

Analysis of evolving global infrastructure asset class, emphasizing need for selective investment approach beyond broad categorizations. Discusses decarbonization, digital infrastructure, transport...